Master Degree in International Finance in Asia

Top Master Degrees in International Finance in Asia 2016/2017

International Finance

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

A course of study in international finance focuses on educating financial professionals to work at a global level of monetary institution analysis and management. Programs in international finance may take into account the scheduling needs of working students.

Students who complete a part of their degree in Asia are growing in numbers. Currently, the second and the third biggest economies are in Asia. Without limitation, students have described their time in Asia as the best experience of their lives. Today, three of the four most populated countries of the world are in Asia: China, India, and Indonesia.

Masters in International Finance in Asia

Read More

Master of Finance

Hult International Business School
Campus Full time August 2017 USA San Francisco United Kingdom London United Arab Emirates Dubai China Shanghai New York Boston + 8 more

Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. [+]

Best Masters in International Finance in Asia 2016/2017. Pursue a career in corporate finance and make an impact within a multinational company. Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting. Locations Start your program in Boston and have the option to rotate to up to two other Hult campuses for your electives as part of our Global Campus Rotation. Your Master of Finance at a glance Who is this program for? Candidates who have recently graduated from university or college, as well as individuals with up to three years of work experience who want to launch a career within the finance function of multinational companies. What you’ll learn Smart financial management decisions maximize shareholder and company value and limit risk. The role of the CFO and the company’s finance team is to optimize financial performance. They do this by looking for ways to fund investments, free up capital, and decrease costs. By understanding the nuts and bolts of the business and what drives the numbers, they also advise on which activities drive profitable growth. The Master of Finance degree is designed to give students this breadth of insight. Why Hult? At Hult’s Boston campus, you’ll be living among some of the brightest minds in the fields of accounting, investment management, and consulting with companies like PwC, Ernst & Young, KPMG, Deloitte, Fidelity, State Street Bank, Boston Consulting Group, and Bain Capital all calling Boston home. Hult also brings business practitioners into the classroom. For example, Hult accounting professor Tom Porter has over 30 years of professional accounting experience, while Hult professor Jon Bentley served as a Partner at PwC. Curriculum Immersion Your Master of Finance program begins with a three-week Immersion. Immersion is the first course in all our Master degree programs and lays the foundations for a successful year. It is a combination of learning academic fundamentals, teamwork, and forging a sense of community among classmates.You will also have the opportunity to orientate yourself to life at Hult and your new home city. The Immersion course prepares you to develop into well-rounded business professionals over the duration of your program and provides the knowledge and skills required to apply a competency-based approach to leadership development. You'll end the course with a capstone simulation which introduces you to complex, integrated high-level business problems in a true-to-life team format. You'll develop and execute a corporate growth strategy, managing all functional areas of a business. Core courses For your first three modules, your core courses will focus on the fundamentals of finance—taught from a global perspective. You will then tailor your final two modules to your individual interests and career goals with electives that your can choose to take at any of our six global campuses. Financial Accounting Financial Management Managerial Accounting Modeling & Analytics I.S. For Accounting & Control Corporate Finance Tax Factors in Business Decisions Internal Consulting & Control Regulatory Environment Forensic Accounting & Financial Investigations International Financial Reporting Electives As part of your Master of Finance, you will have the opportunity to take four electives of your choice once you have successfully completed all of the core courses. You can opt to build upon the knowledge you have already acquired during your core courses, or you can choose to pursue greater understanding in an area of personal interest. Practical application: Simulations & The Hult Business Challenge Applying business theory in realistic scenarios is central to all aspects of the Hult curriculum. Classes are enriched with practical application at every opportunity and skills are put to the test with both virtual and real-world projects. Career development Navigating an international job search requires an individual approach. At Hult, we are experts in international student placement and work one-on-one with you to craft a tailored career strategy. Career Fast Track The earlier you start your job search, the greater your chance of success. Our Career Fast Track program enables you to have everything in place so you can start applying for jobs as soon as you arrive on campus. Before your start your program at Hult, you'll have access to software that gives you a line-by-line resume review, webinars on resume writing, global market employment trends, and creating a targeted job-search strategy. So when you arrive on campus you can concentrate on your studies, networking opportunities, and begin your job search straight away. Line-by-line resume reviews Webinars on global employment trends, personalizing your job search, and how to get your resume to a globally competitive standard Interactive sessions with expert Careers Advisors Personalized support We work one-on-one with you to craft a tailored career strategy and give you the tools to execute it. Coaching Throughout your program, you'll attend workshops and coaching sessions to equip you with essential knowledge and skills in areas like LinkedIn optimisation, personal branding, negotiations, interview preparation, and job search strategy. Advice You'll be assigned a personal Careers Advisor who will work with you one-on-one to help you position yourself to enter your target location and industry. They can advise you on everything from visas to job applications and long-term career paths. You also have the opportunity to have an alumni mentor. Events There is a packed schedule of career events that bring companies on to campus to present, network, and recruit, as well as alumni mixers, expert guest speakers, and career open house events. Post-graduation Your career development doesn't stop when you graduate and neither does Hult's support. Constantly stay connected Your alumni network is one of your biggest assets, Hult Connect is an online portal that allows you to link with the 16,000 Hult alumni working in every major industry in every corner of the world. You'll also have access to our global job board so you can continue take advantage of our relationship with the world's top employers seeking talent. Hult's Alumni Mentorship Program provides you with an opportunity to be a part of coaching the next generation of leaders coming out of Hult. Hult Connect, the online portal for our 16,000+ alumni network Alumni Mentorship Program Global job board and networking events Lifelong education Change never stops, so your business learning shouldn’t either. We empower you to stay up-to-date with emerging trends by taking a complimentary elective each year for the rest of your life. One elective a year, on us. Most careers span decades and critical skills can change as you progress in seniority. The rapid pace of change also means future critical business knowledge might have simply been impossible to learn during your program. Before 2004 there was no Facebook or YouTube; neither the iPhone nor Airbnb existed prior to 2007; and yet understanding the impact of these innovations is critical for business success today. At Hult, you can refresh a skillset or get up to speed in a new business trend by enrolling in one elective a year at any of our global campuses. There’s a small registration fee, but the course is otherwise free of charge. Executive education options for life. Instead of studying an elective, every year Hult alumni can enroll in a range of leadership Summer Executive Education Programs at our historic Ashridge Estate campus in Berkhamsted, U.K. Courses feature a range of leadership and development programs, and are taught by experts with practical, theoretical, and commercial experience. There’s a small registration fee, but courses otherwise cost over $10,000 so the savings over time for Hult alumni are significant. Admissions & fees Hult takes a holistic approach to reviewing your application. In addition to academic achievement, we look for cultural awareness, leadership potential, and a drive to succeed. [-]

Master of Finance Programme

Peking University HSBC Business School (PHBS)
Campus Full time September 2017 China Shenzhen

The Finance program provides specialist training in finance for international students. The master's degree in the finance program focuses on a core curriculum in financial theory and applications. [+]

The  Finance program provides specialist training in finance for international students. The master's degree in the finance program focuses on a core curriculum in financial theory and applications. This is a two year, full-time program in which international students learn alongside Chinese peers in an environment of cross-cultural dialogue. All courses are instructed exclusively in English, as is all academic support provided by faculty, TAs, and staff members. The faculty members of this program have earned their PhD degrees from top-ranked universities over the world.  *The Masters of Finance program curriculum is very quantitative based and therefore requires students to have a very high level of mathematical skills.  It is recommended that students who apply for this program have an undergraduate degree in a related or quantitative field such as economics, finance, mathematics, engineering, etc.     Program Objectives This program aims to develop in students the modern financial theories and methodologies, and a comprehensive understanding of financial performance and management. The Finance program prepares students for a variety of careers, such as chief financial officers, risk management specialists, corporate fund managers and more. This program also enables the students to pursue PhD degrees or carry out research in related concentrations in finance.   Degree Requirements  To obtain a Master of Finance degree from Peking University HSBC Business School, students are required to fulfill 54 credits (including 9 required courses, 6 major elective courses and 2 general elective courses), complete 2 required courses that do not count credits (Mathematics and a Graduate Thesis Seminar) and complete a Master’s thesis. Students will earn the credits only if they pass course examinations. For required courses and elective courses, students need to pass by earning a score of 70 (D) or above. Those who fail a required course will retake the course.  Students who fail the same required course two times or fail any 3 courses within one semester will be removed from the program and not receive their master's degree. This is two year postgraduate program. students will be able to fulfill all course requirements in the first one and a half years if they succesfully pass all of their coursework.  Those who have difficulty completing the required coursework can apply to extend their studies by half a year to one year at the beginning of the second academic year. The tuition cost of the extended period will be significantly lower than traditional tuition fees, but will be covered entirely by the student himself/herself. Research Fields Concentrations: Financial Engineering, Corporate Finance, Investment, Risk Management, Chinese Financial Markets Advisors: Vincent Chang, Lei Sun, Heungju Park, Denial Kim, Frank Koger, Ken Hung, Hursit Selcuk Celil, Frank Koger, Naqiong Tong, Wei Cen, Sung Bin Sohn, Erik Benrud, Wei Xu, Jun Lu,Lan Ju,Juan Yang, Zhiyong Tu,Kwang Won Ahn, Liangyi Ouyang, Chang Yong Ha, Hyunjoong Im, Seungjoon Oh, Nan Liu, Domenico Tarzia [-]

Masters in Finance (MFIN)

American University of Beirut - AUB
Campus Full time 14  October 2016 Lebanon Beirut USA New York + 2 more

The MF program can be completed in a 14 month period by students with non-business backgrounds. A minimum of one calendar year of residence is required for graduation for students with business backgrounds. [+]

Best Masters in International Finance in Asia 2016/2017. The MF program can be completed in a 14 month period by students with non-business backgrounds. A minimum of one calendar year of residence is required for graduation for students with business backgrounds. In order to fulfill the MF graduation requirements, a student must complete the following on a full -time basis as tabulated below. No project will be required Course Type Credit Hours(Minimum) Core 21 Electives 9 Total Number of Credits Required for Graduation 30 Program Delivery The MF can be completed in three semesters (one year) in accordance with the recommended time frame suggested below for students enrolled in the program on a full-time basis. Admission Requirements - Masters in Finance Normally, there is one admission deadline a year: in February, for enrollment in the fall semester. For more detail, please refer to the Admissions section of the AUB graduate catalogue, under Application Procedures. Criteria For Admission To be eligible for admission to the MF program, a student must hold a Bachelor’s degree and must satisfy the requirements of the University for admission to graduate study. To be accepted into the MF program, the applicant must possess an undergraduate university average in the last two years of study greater than 80 or equivalent. GMAT, GRE and work experience will not be required and the typical student will be a fresh graduate. The program is open to students from other educational backgrounds including engineering, economics, mathematics, statistics and so forth. Students not having an undergraduate degree in business will be required to take at least two pre-requisite courses prior to enrollment in the core. The Curriculum The graduate program consists of 7 core courses and 3 electives spanning the various areas of corporate financial management, risk analysis and management, investments and portfolio theory, quantitative finance. The core courses are in the general area of: MFIN 301: Quantitative Methods of Finance MFIN 302: Financial Statement Analysis MFIN 303: Security Analysis MFIN 304: Financial Strategy MFIN 305: Structured Finance MFIN 306: Portfolio Management MFIN 307: Equity Valuation Three elective courses may be chosen from the following list of courses: MFIN 351: Fixed Income Securities MFIN 352: Islamic Finance MFIN 353: Financial Econometrics MFIN 354: Credit Risk Measurement and Management MFIN 355: Entrepreneurial Finance MFIN 356: International Finance Students not having an undergraduate degree in business will be required to take, prior to enrolling in the MF program, at least two pre-requisite/remedial courses of 3 credits each: Financial Accounting/Basics of Finance Quantitative Analysis/Economics As mentioned previously, these students can complete the program in 14 months. [-]

Master Européen Banque Privée Internationale

Online Open Enrolment Martinique (Fr.) Martinique Online Senegal Senegal Online Reunion (Fr.) Reunion Online Côte d'Ivoire Cote d'Ivoire Online Mauritius Mauritius Online French Polynesia French Polynesia Online France France Online Lebanon Lebanon Online Belgium Belgium Online Morocco Morocco Online Switzerland Switzerland Online Tunisia Tunisia Online Luxembourg Luxembourg Online Algeria Algeria Online Canada Canada Online Democratic Republic of Congo Congo DRC (Zaire) Online French Guiana French Guiana Online Congo Congo ROC (Brazzaville) Online Guadeloupe (Fr.) Guadeloupe Online Niger Niger Online + 37 more

Comprendre les modèles européens et leurs particularités dans le business, Maîtriser les bases de l’analyse économique et de la gouvernance stratégique... [+]

UNE FORMATION, DES OBJECTIFS Comprendre les modèles européens et leurs particularités dans le business Maîtriser les bases de l’analyse économique et de la gouvernance stratégique Approfondir le fonctionnement des marchés financiers internationaux et du marché des changes Assimiler les outils de droit, de fiscalité et de gestion bancaire internationale Savoir gérer la relation client, les actifs financiers et le patrimoine UN MÉTIER Chargé de la clientèle entreprise, des banques et des établissements de crédits Analyste financier Contrôleur de gestion Trésorier d’entreprise Gestionnaire de portefeuilles PROGRAMME Stages: Stage ou mission en entreprise de 6 à 12 semaines en 1ère année et 12 semaines en 2ème année Ou Alternance (nous consulter) Langue vivante : 1 langue obligatoire 1 langue supplémentaire en option INFORMATIONS PRATIQUES Conditions d'admission: Niveau II (bac+3) 180 crédits ECTS Sur dossier Examens: Plusieurs sessions par an organisées dans des centres partenaires FEDE (France et monde) Niveau De Sortie : Bac +5 Informations Diplôme : Master Européen** délivré par la Fédération Européenne des Ecoles (FEDE) – Association régie par le droit suisse ( 60-79). Le Master Européen est un diplôme européen validé par l’IACBE (International Assembly for Collegiate Business Education) qui est un organisme d’accréditation américain. [-]

Master of Finance

Asia Pacific University of Technology & Innovation (APU)
Campus Full time Part time 18 - 60  January 2017 Malaysia Kuala Lumpur + 1 more

This Master of Finance programme will equip graduates with the highly marketable skills, and specialised financial knowledge and tools to move from theory to real-world applications needed to take them to the forefront of the financial world. [+]

Best Masters in International Finance in Asia 2016/2017. Master of Finance This programme is specifically designed to provide a solid in-depth knowledge in the theory and practice of decision making needed to face the challenges in the financial world of today. In the rapidly changing business world of today, there is a growing need for finance professionals to meet the high requirements set by firms operating in a demanding environment and understanding its key areas at a global level is critically vital. This Master of Finance programme will equip graduates with the highly marketable skills, and specialised financial knowledge and tools to move from theory to real-world applications needed to take them to the forefront of the financial world. Admission Requirements Bachelor’s degree with minimum CGPA of 2.50 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent but for CGPA below 2.50; can be accepted provided that the candidates must have 5 years working experience in relevant field. Graduates of equivalent qualifications who have several years of relevant industry experience. Evidence of satisfactory English language skills is required for candidates where English is not their first language, such as IELTS 6.0 or above or TOEFL 550 or above. Who should attend This degree is intended for finance professionals looking to widen their skill base, or students who have made a professional commitment to pursue a career in the finance industry and who have studied finance in an undergraduate degree and are interested in equipping with the most comprehensive array of analytical tools and techniques. This Masters of Finance could be a stepping stone to one of the most sought-after careers in the finance sectors broadly defined as corporate finance, security analysis, portfolio management, options and futures, treasury management, the functioning of financial institutions and markets, and financial decision-taking. Developed alongside the international organisations, this Master of Finance degree ensures graduates have the knowledge they need and can apply it within today's financial world. The Benefits of This Programme On successful completion of this programme, you will be able to : Have an in-depth understanding concerning principles of the financial workings and also the application of such understanding in using those financial assets to the world of business and investment. Understand and apply advanced concepts of finance and investment and extend the knowledge of the finance discipline into more specialised areas. Have the ability to integrate knowledge, handle complexity and formulate judgments with incomplete or limited information but includes reflecting on the social and ethical responsibilities linked to the application of their knowledge and judgments. Communicate clearly and unambiguously the conclusions and the knowledge and rationale underpinning them, to specialist and non-specialist audience. Apply qualitative and quantitative techniques in analysing and evaluating financial and investment problems. Use information technology, such as word processing, databases, the web and econometric packages, to download and analyse financial and economic data. Conduct independent research and solve multidisciplinary and interdisciplinary questions in a professional field on an academic, higher education level. Put plans into action with the experience learned from the successful entrepreneurs and a solid understanding of the realities of a business especially in Financial or investment related areas. Programme Modules & Project / Dissertation Core Modules Optional Modules* Quantitative Methods For Decision Making Securities, Futures and Options Financial Regulation and Regulatory Policy Financial Markets and Institutions Corporate Finance Financial Statement Analysis Fixed Income and Equity Investment Investment and Risk Management Investment and Portfolio Management Research Methodology Dissertation OR Financial Planning and Wealth Management Economics for Finance and Investment Analysis Fundamentals for Islamic Finance Project Paper/Case Study Dissertation Training in research methods, through the Research Methods and Literature Review Module, in addition to close supervision, will encourage you to develop your research skills so that you can complete your dissertation or project paper efficiently. The dissertation helps students develop the kind of skills they will need for work in a variety of careers, as well as to develop their specific ability to research and analyse academic problems. The research will focus on the issues related to the common business and managerial problems in finance within or external to an organization either locally or internationally particularly with reference to its policy’s implication. The main purpose of this dissertation/project undertaking is to allow students to explore their area of interest and to apply the right approach or methodology to arrive at the rightful solutions that best suit or solve the problems at hands. Dual Degree Award: APU, Malaysia & Staffordshire University, UK [-]