Masters Program in Finance in Turkey

Compare Masters Programs in Finance in Turkey 2017/2018


Whether it is in International Trade, Banking, Investment Analysis, Managerial Accounting or Corporate Finance, Master of Finance graduates are qualified for rewarding careers in all areas of the Finance sector. Master of Finance students in Turkey are introduced to a foundational theoretical framework based in Corporate Finance, Financial Markets and Macroeconomics. Further study uncovers essential knowledge in the areas of Investments, Bank Financial Management, Financial Derivatives Risk Management, Fixed Income and Corporate Restructuring.

Designed for applicants with a related Bachelor's degree or equivalent undergraduate qualifications, a Master in Finance degree will put graduates on a fast track to supervisory positions with higher salaries. One- or two-year Master of Finance programs are offered at universities and business schools across Turkey - from Istanbul to Izmir to North Cyprus. Some Masters in Finance programs in Turkey require the completion of a thesis, or a cumulative assessment at the end of the study period.

To learn more about how you can apply to enroll in a Master of Finance program in Turkey to acquire valuable knowledge about state-of-the-art approaches to contemporary global finance, scroll down and click to read more. Request more information from schools in Turkey in just one click!

Read More

Master of Banking And Applied Finance

Izmir University of Economics
Campus Full time 2 years September 2017 Turkey Balçova

Master of Banking And Applied Finance [+]

Best Masters in Finance in Turkey 2017/2018. BANKING COURSES Bank Accounting Course Objectives: This course aims to set the fundamental basis for the future accounting courses by covering the bookkeeping process and the reporting of the basic financial statements as the balance sheet, income statement, the statement of cash flows, and the statement of retained earnings. Topics covered include funding structures of bank and other financial institutions and accounting process of them, bookkeeping process of credit loaning and exchange services depending on uniform accounting system, comparison of uniform accounting system and other systems, explanation of documents used by accounting offices in banks. Bank Asset -Liability Management Course Objectives: This course aims to set the fundamental basis for the strategic management of bank balance sheet and funding structure and its cost, the relationship between profit and asset-liability management, off-balance-sheet items of the banks, risks for banks, interest rate and foreign exchange management tools- ,hedging techniques for derivatives to manage interest rate risk , duration analysis and transfer pricing, cost calculation and pricing and their applications Banking Operations and Techniques Course Objectives: Topics covered include fundemental basis for deposit and credit, corporate and consumer loan services, credit cards and electronic banking services, letter of credits and international bill receiving, colleteral and letter of assurance. Risk Management in Banking Course Objectives: This course aims to give students an insight into financial markets which is changing immediately, The basic topics to be covered in this course are: risk management techniques in banks, asset and... [-]

Master in Finance (MiF)

Sabanci University
Campus Full time 10 months September 2017 Turkey İstanbul

The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. [+]

Masters in Finance (MiF) Program The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. In addition to theoretical foundations, students enrolling in MiF acquire practical knowledge in finance, as well as hands-on training in our state-of the-art Center for Applied Finance Education (CAFE) facility. This unique center in the region is equipped with cutting edge technology and software, creating an up-to-date learning environment for students. Guided by an Advisory Board composed of accomplished finance professionals, our program aims to furnish students with the essential skills of a modern finance specialist. The curriculum consists of a variety of courses in corporate finance and investments, as well as “tools” courses such as financial econometrics and programming. The internship requirement in the later stages of the program helps students apply their acquired knowledge to everyday operations in the finance industry. Practicum seminars provide students continuous contact with the industry and help them plan their careers. These distinguishing aspects of the program serve to fulfill our shared vision, which is to develop the future leaders of the finance industry. Curriculum The Masters in Finance program is designed with a goal of furnishing our students with all of the essential skills for a career in finance. The program delivers a strong theoretical basis, without losing focus on practical applications, and a financial toolbox that provides our students an edge in their careers. The program is enriched with seminars and workshops, offering a contextual knowledge of the financial... [-]