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Universidad Europea Master in Financial Management
Universidad Europea

Master in Financial Management

Alcobendas, Spain

9 Months

English

Full time

Request application deadline

28 Oct 2024

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On-Campus

Introduction

The Master in Financial Management has the support of Fintech Spain and is the only postgraduate course on which you'll use the Refinitiv tool, software that provides financial solutions in the areas of trading, investment, consultancy, risk, and wealth.

In this master's program, you'll learn how to make financial decisions in unpredictable global environments, applying data visualization and extraction tools and financial technologies such as Cognos Analytics, Tableau, Big Data, and Fintech.

In addition to mastering taxation, management, financial planning, liquid assets, M&A processes, private equity, venture capital, VaR methodologies, and other financial risk analysis concepts, your management profile will be enhanced with cross-cutting skills such as strategic communication and influential leadership.

Why study for a Master's in Financial Management?

  • You’ll acquire digital skills, and learn to use data visualization tools such as Cognos and Tableau, business analytics techniques in finance, and data mining and analysis (Big Data) for commercial, strategic, and business positioning purposes. You'll also learn how to use Fintech for financial decision-making in unpredictable global environments
  • You'll be able to apply the knowledge, skills, and competencies gained in the areas of financial management, supervision, consultancy, and financial intermediation in a practical and integrative way. You'll develop a practical understanding of the fiscal implications of business decisions, optimization strategies, tax burdens, and the financial return on different investment alternatives
  • You’ll learn about financial planning and management and all that this implies, such as international regulatory frameworks, how to apply MiFID II regulations, the nature of the international financial system, investment analysis, the valuation of financial assets and companies, strategic planning, and more
  • You’ll be able to analyze tax planning, investment management, and tax optimization strategies to make decisions that will improve company performance. You'll master the analysis, control, and management of financial and business risk and associated methodologies such as VaR, and you'll learn about M&A processes and the application of hedging strategies
  • 90% of the teaching staff in the Master in Financial Management program are professionals who are currently working in the finance, banking, and insurance sectors. Learn from working professionals like the founder and director of Fintech Spain, and senior executives from CaixaBank, World Bank, Banco Santander, and Barclays Bank, who also have experience in investment banking
  • The only master's degree where you learn about financial management, investment assessment, risk analysis, and control with the Refinitiv tool, software that provides financial solutions in the areas of trading, investment, consultancy, risk, and wealth. Furthermore, you'll be able to use this tool throughout the master's program outside scheduled class hours so that you can practice and strengthen your conceptual knowledge.

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