
This programme pursues two main objectives: on one hand, to foster the participants’ analytical understanding of finance and banking subjects and, on the other hand, to enable participants to master the decision-making process in uncertain environments. As the programme advances, participants improve their management skills thanks to the strong interconnection between the topics dealt with in the programme, supported by business cases and tutorials guided by professionals in a multicultural setting.
The Masters course has been specifically designed for international young professionals with a high development potential and a strong profile in the financial and banking area. The participants’ performance and professional profile are monitored during the Master, with the possibility of the students being recruited upon completion for an internship in one of the sponsor institutions. Our goal is to help the participant join the most reputable financial institutions via a fast-track process.
Master in Finance & Banking
1st Trimester
Basics in Macroeconomics
Basics in Matlab
Equite & Fixed Income
Corporate Finance
Information Reporting
Financial Emerging Markets
Elective Subjects
Corporate Law
Financial Software
2nd Trimester
Corporate Governance & Business Ethics
International Capital Markets
Advanced Corporate Finance (M&A)
Derivates
Portfolio Management Theory
Risk Management I
Risk Management II (Online)
Project Finance
Elective Subjects
Microfinance
European Interbank Market
3rd Trimester
Financial Marketing
Strategic Management
Trade & Investment in Banking
Leadership in the Banking sector
Final course Project