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Banking - Finance

Grades types : master
English

Master of Science in Risk and Financial Technologies

This challenging program prepares students for a rewarding career in financial risk management, the science of measuring risks, and the art of managing them.
NEOMA Business School future graduates can expect to start or boost their career in prestigious banking and corporate institutions across the world (such as HSBC, Bank of China, ICBC, JP Morgan Chase…).
A few of the possible positions you can aspire in the field of risk management:
Risk Management Manager, Risk Analyst, Portfolio Analytics Manager, Quantitative Analyst, Financial Advisor, Compliance Manager…

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Master of Science Finance

NEOMA Business School possesses a first-class teaching body in Finance Department illustrated by the exceptionnal career paths of thousands of graduates now in banks, auditing companies and large businesses throughout the world.
Our programme will not only provide you with a Master's degree but also prepare you efficiently for CFA Level I and II. Our results are on average 70% vs 43 % average for the World pass rates.
The CFA® designation will give you relevant foundations in finance, with high levels of ethics and is an indicator of excellence when working in financial analysis and asset management.
It is a real career accelerator.

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MBA in Quantitative Finance

ZSEM's MBA in Quantitative Finance includes courses which are also taught at the majority of the graduate programs in Europe and the United States related to the field of Statistics and Finance. This program has recently been included in Eduniversal's list of the top 100 programs in the world in the area of Financial Markets. This is the second consecutive year in which our MBA in Quantitative Finance has been included in this list, and is placed ahead of similar programs in the United States, Germany, the United Kingdom, Australia, and France.

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MBA in Finance and Banking

The ZSEM Graduate MBA Program in Finance and Banking, which is currently ranked among the 10 best programs of its type in Eastern Europe, aims to prepare students for a career in commercial banks, investment funds, insurance companies, and other similar organizations. However, this program would also be perfectly suited to those that plan on working in financial departments of companies operating in other sectors, as well as for those that plan a career in government institutions (the Croatian National Bank, Ministry of Finance, Croatian Financial Services Supervisory Agency, etc).

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Master in Finance

 

The Master in Finance is designed for those who wish to acquire and deepen their knowledge and training in various domains of finance. Based on the most recent financial developments, this program extends and enhances professional competences, combining the latest developments in finance theory with the analysis of complex real cases. Students are prepared to become highly qualified professionals in several areas of finance, such as valuation of real and financial assets, financial institutions management, mergers & acquisitions, corporate governance, performance evaluation, international finance, derivatives and risk management, volatility characterization and forecasting, and behavioural finance. The program also creates incentives for for academic research in these areas. All courses are fully taught in English.​​
 

The Master in Finance is acknowledged by the CFA Institute as incorporating at least 70 percent of the CFA Program Candidate Body of Knowledge (CBOK) and placing emphasis on the CFA Institute Code of Ethics and Standards of Practice. This program positions students well to obtain the Chartered Financial Analyst® designation, which has become the most respected and recognized investment credential in the world.

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Master of Science Markets & Investments - one-year programme

Ranked 6th worldwide by the Financial Times in 2017
The MSc in Financial Markets & Investments is a market-driven finance programme that closely reflects the constantly changing world of international finance. The teaching and curriculum use a practical approach. 
 
The programme gives students practical expertise in the key areas of finance within the post crisis financial environment in the fields of trading, risk management, sales, investment advisory, structuring finance… Content is taught within a global macro-economic and financial environment with market-oriented courses th​at will enable the students to become conscious of a new financial and economic environment including a key component that may remain with them throughout their careers: a stockpile of world debt. 
 
The availability of Bloomberg terminals with existing live quotes and up-to-the-minute financial information from different exchanges allows students to follow and better understand the correlation between geopolitics, economics and the financial markets. Students work with these organisations on projects, case studies and research.
  
*"Local" = Sophia Antipolis or Suzhou Industrial Park and the surrounding areas. 

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Master of Science Markets & Investments - two-year programme

Ranked 6th worldwide by the Financial Times in 2017
The MSc in Financial Markets & Investments is a market-driven finance programme that closely reflects the constantly changing world of international finance. The teaching and curriculum use a practical approach. 
 
The programme gives students practical expertise in the key areas of finance within the post crisis financial environment in the fields of trading, risk management, sales, investment advisory, structuring finance… Content is taught within a global macro-economic and financial environment with market-oriented courses th​at will enable the students to become conscious of a new financial and economic environment including a key component that may remain with them throughout their careers: a stockpile of world debt. 
 
The availability of Bloomberg terminals with existing live quotes and up-to-the-minute financial information from different exchanges allows students to follow and better understand the correlation between geopolitics, economics and the financial markets. Students work with these organisations on projects, case studies and research.
  
*"Local" = Sophia Antipolis or Suzhou Industrial Park and the surrounding areas. 

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Master of Science Auditing, Management Accounting & Information Systems - one-year programme

Participants develop an in-depth understanding of audit, management control and information systems, and of the different ways it contributes to competitive advantage and to the wealth and advancement of society.
 
The MSc provides students with a range of knowledge, tools and skills and the ability to use them in a variety of operational & entrepreneurial situations in order to become responsible managers and contribute to sustainable development. Students develop the ability to think analytically in order to successfully apply their knowledge and technical expertise to the solution of real business problems.
 
The programme supports and encourages students to develop their individual managerial and research capabilities in order to become key actors of change for their companies, profession and the global business environment.

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Master of Science Auditing, Management Accounting & Information Systems - two-year programme

Participants develop an in-depth understanding of audit, management control and information systems, and of the different ways it contributes to competitive advantage and to the wealth and advancement of society.
 
The MSc provides students with a range of knowledge, tools and skills and the ability to use them in a variety of operational & entrepreneurial situations in order to become responsible managers and contribute to sustainable development. Students develop the ability to think analytically in order to successfully apply their knowledge and technical expertise to the solution of real business problems.
 
The programme supports and encourages students to develop their individual managerial and research capabilities in order to become key actors of change for their companies, profession and the global business environment.

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Master of Science in Applied Finance

The SMU Master of Science in Applied Finance (MAF) provides a strong foundation in the principles, practices and operations of international and domestic financial markets focusing on applying updated and relevant knowledge in real-world situations.
 
The curriculum also prepares students to pursue the Chartered Financial Analyst (CFA) designation. The SMU MAF aims to raise the standard of practitioners' knowledge and skills in applied finance which has been identified as an area of critical training by the Economic Review Committee and the finance industry. MAF graduates can expect to be equipped with the ‘hard' critical analytical and problem-solving skills and the ‘soft' people and communication skills necessary to advance their careers in the fund management, banking and finance industries.

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