The program provides students with the knowledge and practical skills to succeed in the financial sector, in commercial or investment banks, consultancy or in the finance department of any company. *The opportunity to study with Fudan is specific to MSc Economics, MSc Economics & Econometrics, MSc Money, Banking and Finance and MSc Financial Economics programmes. in Banking and Finance is a 2 year post graduate banking course. The Master of Science in Banking and Finance is a research-based MSc with a practical dimension providing advanced technical and management training. After completing my Master's degree in International Business Administration with a specialisation in Finance and International Management at the University of Vienna, I decided to enroll in Banking & Finance to further deepen my knowledge of Finance. In addition to the necessary analytical, methodological skills and the institutional knowledge, students will be made familiar with the underlying economic mechanisms. At the core of this internationally oriented English language based master degree programme “International Banking and Finance” is the acquisition of practically relevant management. M.Com. Graduates who have little or no business experience and want a career in finance or banking. In Banking, you will take a more intensive look at the structures of credit institutions and how they work. The good databases, the facilities, the technical and administrative support, and support for international students such as myself significantly contributed to the accomplishment of my doctoral degree. Curriculum. Master of Management (Banking and Finance) Massey provided a supportive, affectionate and comfortable learning environment. Getting Master’s degree in Finance and Banking in Vilnius University: I really like to study here. MSc Finance and Investment . All about this master, Master in Banking and Finance Kyiv-Mohyla Business School (KMBS), ranked n°9 at Eduniversal Bests Masters Ranking School of Economics and Finance. Master’s in Banking and Finance educates students in advanced theories and methods of financial analysis. From the 2017/18 academic year, our Faculty offers a master’s programme in Banking and Finance. It prepares for challenging careers in the banking and insurance sector as well as with financial service providers. Receive a solid theoretical foundation in finance and banking. This programme consists of three terms (10 weeks each) and a term of dissertation (12 weeks). The Master of Banking and Finance delivers a flexible, career-oriented and current postgraduate banking and finance education. The Institute of Banking and Finance offers two different Masters: A Master of Arts in Banking and Finance and a Joint Master of Science in Quantitative Finance together with ETH Zurich. Application procedure. 12/12/19. ”The master’s program in Banking and Finance addresses the institutional particularities of the financial systems in Continental Europe, such as their strong banking focus. You'll take specialist modules in finance, banking and monetary economics as well as learning core economic theory. Students graduating from this programme will probably feel at ease in functions or departments such as: investment analysis risk management units of financial and corporate organisations The Master's study program contains four areas of concentration. Darum MBF. It will give you specialist skills, combined with advanced level business management techniques. Students graduating from this programme will probably feel at ease in functions or departments such as: investment analysis risk management units of financial and corporate organisations Using information from a number of sources, you will study the theory and practice of international banking and financial markets, and their behaviour. Explore specialist modules in finance, banking and monetary economics alongside economic theory. Der konsekutive Master of Science in Banking and Finance ist eine wissenschaftlich fundierte und zugleich praxisorientierte, international ausgerichtete weiterführende Fach- und Spezialistenausbildung in Banking und Finance und stellt somit sowohl für Bachelorabsolventen einer Fachhochschule als auch einer Universität eine attraktive Option dar. Course description. Das Masterstudium Banking and Finance soll den Studierenden die Fähigkeiten vermitteln, anspruchsvolle Aufgaben insbesondere in Unternehmen des Finanzsektors übernehmen zu können. Vlerick Business School United Kingdom: 48 . You’ll graduate prepared for a finance-related career. The Admissions Committee will then decide whether you will be admitted to the Pre-Master’s programme. Sie lernen, komplexe Aufgaben zu analysieren, Lösungsvarianten zu identifizieren und erfolgreich umzusetzen. Corporate Finance examines company finance and investment economics. The MSc in Finance and Banking is a program jointly offered between the UPF Department of Economics and Business and UPF Barcelona School of Management. Overview. Student's Testimonial - Master in Banking and Finance . “The Master’s program is an excellent mix of theory and practice and covers a wide range of banking and finance topics.” Claudia Fisch, Head of Product Management Basis, Thurgauer Kantonalbank, Alumna of MSc in Banking and Finance The Master of Finance is quantitatively oriented and provides both depth and breadth in finance. This course equips you well for a career in banking… As a student of this degree, you will explore finance, financial modelling, econometrics, trading, research and the analysis of financial markets. Absolvent*innen des Masterstudiums Banking und Finance besitzen ein methodisch-wissenschaftliches Profil, welches für die Übernahme von Spezial- und Führungsaufgaben im Finanzsektor, in der öffentlichen Verwaltung und bei Regulierungsbehörden erforderlich ist. The programme is jointly taught by Stockholm Business School and Department of Economics and is designed to attract students from both business administration and economics with a highly specialized interest and prior knowledge of financial economics. UPF Barcelona School of Management Belgium: 47 . The study programme, which is taught in English, is an innovative combination of the subjects of money and macroeconomics on the one hand and finance on the other, and therefore links economic policy with the financial sector. skills, tailored to the needs of the international banking and finance industry. Master of Science in Finance and Banking. In the first half of the first semester, students with a background in business take two courses in Economics at intermediary level, while and students with a background in economics take courses in Business at intermediary level. The candidates who like to take up this course must possess basic eligibility with graduation degree in commerce stream with minimum demanded scores between 45% to 50%. Explore the role of banks and finance in the modern global economy. Year 1 Semester 1. The Master in Banking and Finance will teach you how to make strategic financial decisions, assessing risk and profitability. It is highly practical, designed to meet employer needs and provides graduates with the theoretical knowledge, capabilities and work experience relevant to a career in the profession. Master's Programme in Banking and Finance. This course will help to enhance your lucrative career opportunities in the fast-paced world of multinational banking and finance. It offers subject-specific skills and knowledge in the areas of Bank and Risk Management, Corporate Finance and Investments (incl. The lecturers are passionate, have considerable knowledge and experience, apply newest and actual learning methods, so, you are swept in studying process all time. Der M.A. For more information on Double Degrees and other postgraduate study abroad opportunities, visit the Business School’s Study Abroad webpages . The Professional Master’s degree programme ”International Finance and Banking” was ranked 13 by EDUNIVERSAL Best masters ranking under section ”Corporate Finance”/Eastern Europe(2015/2016 academic year) Upon successful completion, you will receive 2 degrees. You will become familiar with the marketing and management control policies used by credit entities and explore banking's legal framework. Tätigkeitsfelder. Tuition Fees pre-Master’s programme. HSG in Banking and Finance (MBF) bietet in den Bereichen Finanzmärkten, Finanzinstitutionen, Unternehmensfinanzierung und Quantitative Methoden eine hochwertige theorie- und anwendungsbezogene Ausbildung. The Master programme is intended for economists with a background in finance and who feel the need for a serious in-depth training in finance and banking. Use your quantitative skills and enhance your employability. This Master programme requires good analytical skills as well as strong time management skills. Programme Structure. Master in Financial Management . To enroll for the pre-Master’s programme you must first apply for the Master Banking and Finance. Please note changes in the course offering In the fields of corporate finance, risk management & insurance, quantitative methods & data science, banking & the financial economy, financial markets and alternative investments, the MBF offers high-quality eduaction in both theory and application. You'll apply theory to real-world problems. The Master programme is intended for economists with a background in finance and who feel the need for a serious in-depth training in finance and banking. Both programs offer an excellent preparation for the professional life and provide the basis for … University of Edinburgh Italy: 49 . Master of Business Administration (MBA) – Awarded by SBS Swiss Business School The Master's in Banking and Finance consists of 4 semesters (2 years) full time study. More information on the tuition fees for pre-Master students. Der Master in Banking and Finance ist eine wissenschaftlich fundierte und zugleich praxisorientierte Managementausbildung auf internationalem Niveau. Around 1,000 master’s students from all over the world; Teaching by research-active academics as well as visiting city professionals; Wide range of elective modules; Wide range of optional short modules (on programming languages, trading platforms such as Bloomberg, etc. Develop an in-depth knowledge of the financial system.