MSc in Finance and Risk Management
DURATION
12 up to 18 Months
LANGUAGES
English
PACE
Full time
APPLICATION DEADLINE
Request application deadline
EARLIEST START DATE
Request earliest startdate
TUITION FEES
EUR 21,500 / per year *
STUDY FORMAT
On-Campus
* 21,500€ for an 18-monts course| 13,350€ for a 12-month course (Increase of €1500 for non-EU students)
Introduction
The Master of Science Finance and Risk Management objective is to provide students with a varied and in-depth knowledge base This program allows them to develop an understanding of the financial markets and corporate governance while emphasizing Societal and Environmental Responsibility.
The MSc’s goal is to train managers who can lead responsible economic and financial projects that are fully aligned with market expectations. Graduates will be able to meet challenges and anticipate business transformations. As finance professionals, they will be full participants in the development of the businesses of the future. This program is taught entirely in English. It is ideal for an international finance career.
The MSc Finance and Risk Management is offered on our Paris campus.
Accreditations
ISC Paris is a member of the French Conférence des Grandes Écoles and the UGEI. The ISC Paris Group is accredited by AACSB, AMBA, and EFMD accredited Master and BGA. Moreover, ISC Paris is certified by the Qualiopi organization and has been awarded the Bienvenue en France label as a school that is especially welcoming to international students.
Gallery
Admissions
Curriculum
- Cash Management,
- Internal Audit Compliance and Fraud,
- International Financial,
- Reporting Standards,
- Corporate Finance,
- Investments Financing,
- Mergers and Acquisitions,
- Budget Controlling,
- IPO LBO,
- Insurance and Banking Regulators and Regulations,
- Finance Business Case
Program Outcome
- Understanding and managing financial risks, using a pragmatic approach to tools and techniques, while developing solid financial knowledge applicable to any corporate, banking, or consulting firm situation.
- In this context, the MSc in Finance and Risk Management takes a broad view of the financial techniques that are required to work and grow within a corporate administration and finance department, a finance and investment bank, or a junior member of an auditing firm.
Program Tuition Fee
Career Opportunities
After earning your MSc in Finance and Risk Management, you can embark on a career in a corporate finance department. Your broad skill set and overview of the corporate world will allow you to perform an analysis and share your expertise with decision-makers. You will be able to take on a role with a high degree of responsibility and supervise teams. With a specialization in responsible finance, you will know how to provide valuable advice, to tailor your company’s work to the emerging needs of the market and your clients. You will be prepared for a role such as:
- Administrative Controller
- Financial Reporting Analyst
- Head of Financial Communication
- Business Analyst
- Internal Auditor
- Cash Manager
Program Admission Requirements
Show your commitment and readiness for Grad school by taking the GRE - the most broadly accepted exam for graduate programs internationally.