Master of Arts Program in Finance in Europe

Best Master of Art Degrees in Finance in Europe 2018

Finance

A master's degree is a postgraduate academic degree. A master's degree prepares students to lead or manage. A master's degree also prepares a person for a range of pursuits through specialized study of a field.

The field of finance can be broken down into personal, public, and corporate finance. Each subfield focuses on management of assets and debts, often focused on investment banking. Students of finance may keep their education general or specialize in a specific area like accounting or corporate finance.

In all, there are over 4000 Higher Education Institutions in Europe offering a wide range of courses at Bachelor, Masters and Doctorate level. With more and more of these organizations offering English as the language of education for at least some of their degree programs, universities in Europe are now of higher quality than ever before. Universities in Europe offer a friendly welcome to foreign students and to give a course of knowledge that meets their profession needs in today’s global demand.

M.A. in Finance in Europe

Read More

Master International Banking and Finance

University of Applied Sciences BFI Vienna
Campus Part time September 2018 Austria Vienna

The graduates can apply methods and ideas in customer and product management, treasury, cost accounting, controlling, liquidity and risk management at master’s level; analyse the connections and effects of central banking processes, plan measures to steer these processes, and implement them in an international environment; identify and analyse key topics of bank management in order to... [+]

The graduates can:

apply methods and ideas in customer and product management, treasury, cost accounting, controlling, liquidity and risk management at master’s level analyse the connections and effects of central banking processes, plan measures to steer these processes, and implement them in an international environment identify and analyse key topics of bank management in order to infer context-specific recommendations and measures realise ideas and methods of modern management theories (Corporate Social Responsibility, Systemic Organisation Development, Collaboration, Change and Innovation Management) and apply them appropriately collaborate in implementation and research projects in banking and finance Vocational fields Asset Manager Relationship Manager Bank Auditor Finance Analyst Treasury Manager The programme in brief Academic degree: Master of Arts in Business, MA Admission procedure: written application, MC test, Presentation meeting (in English). For preparation, we recommend our scripts. There are no external courses required. Admission requirements: completion of a business degree (in Austria or equivalent degree abroad) and proven qualifications in Business Administration (4 ECTS), Accounting and Controlling (4 ECTS), Economics (4 ECTS), Mathematics and Statistics (4 ECTS) Course information (ECTS): 90 ECTS Deadline for applications: 15 May, Online Application Deadline for applicants outside European Union: 15 March (due to Visa restrictions) Duration of studies: 3 semesters Information for international applicants: please find our guidebook in the download area Medium of instruction: English Number of study places per year: 54 part-time per year Study periods: three evenings a week and Saturdays Tuition fees: € 363.36 per semester (+ € 19.20 Austrian Students Union fee) [-]

Master Quantitative Asset and Risk Management

University of Applied Sciences BFI Vienna
Campus Part time September 2018 Austria Vienna

This internationally-focussed master's degree programme is run in English. Graduates qualify with a Double Degree from the University of Applied Sciences BFI Vienna and one of its partner universities: University of Bologna (Italy), University of Economics (Katowice, Poland) and Alexandru Ioan Cuza University (Iași, Romania). [+]

This internationally-focussed master's degree programme is run in English. Graduates qualify with a Double Degree from the University of Applied Sciences BFI Vienna and one of its partner universities: University of Bologna (Italy), University of Economics (Katowice, Poland) and Alexandru Ioan Cuza University (Iași, Romania).

Graduates are able

Graduates typically provide expertise to organisations requiring the following professional functions:

describe and analyse the connections between asset and risk management in finance quantify and assess risk types in risk management, and infer measures for integrated steering of banks and insurance companies analyse various asset classes and their products carry out portfolio selections, and calculate key performance and risk measures apply financial mathematics and statistics to developing financial models Professional roles and functions Asset management Risk management Liability management Private banking and family office Compliance and regulatory reporting The programme in brief Academic degree: Master of Arts in Business, MA Admission procedure: a written application, MC test, structured interview. For preparation, we recommend our scripts. There are no external courses required. Admission requirements: completion of a social studies/business/natural science/ law/ technical degree (in Austria or equivalent degree abroad) with, documented qualifications in economic sciences (9 ECTS), mathematics and statistics (6 ECTS) Course information (ECTS): 120 ECTS Deadline for applications: 15 May, Online Application Deadline for applicants outside European Union: 15 March (due to Visa restrictions) Duration of studies: 4 semesters Stay abroad: obligatory in the second academic year, in blocked form (e.g. two weeks) at one of the partner universities Information for... [-]

MA Financial Economics

Kingston University London
Campus Full time Part time 1 - 2  September 2018 United Kingdom Kingston upon Thames + 1 more

This MA will enable you to master key tools used for the financing of individual companies - derivatives, investment appraisal and risk management - and provides an in-depth study of financial issues affecting the broader economic environment, such as crises and bubbles in the international economy. It offers an opportunity to develop the key analytical skills necessary for carrying out research on contemporary issues in financial economics. [+]

Choose Kingston's Financial Economics MA

This MA will enable you to master key tools used for the financing of individual companies - derivatives, investment appraisal and risk management - and provides an in-depth study of financial issues affecting the broader economic environment, such as crises and bubbles in the international economy. It offers an opportunity to develop the key analytical skills necessary for carrying out research on contemporary issues in financial economics.

Find out more about this course:

Key features

This course offers a good preparation for work with a range of public and private institutions in the area of applied financial economics, including banks and insurance companies; firms dealing with the reporting and evaluation of financial information, and domestic and international regulatory agencies focusing on the financial sector. Lectures are supplemented by seminars, giving an opportunity for regular feedback and discussion. The University's Economics department is actively engaged in research and publication on financial topics, and you will benefit from regular staff seminars and workshops. What will you study? ... [-]

Master in Financial Economics (without thesis)

Izmir University of Economics
Campus Full time September 2018 Turkey Izmir

Press on a career in a variety of roles within economics and finance. Master finance and economics tools and apply them to solve problems. Combine theory with practice, and prepare perfectly for a career in banking, asset management or consulting among others. [+]

"Press on a career in a variety of roles within economics and finance. Master finance and economics tools and apply them to solve problems. Combine theory with practice, and prepare perfectly for a career in banking, asset management or consulting among others."

Why Choose this Program?

This program has been designed following consultation with alumni currently employed in a variety of finance sector occupations to bring theory and applications together in a balanced way to meet the needs of today’s competitive job market. You will be equipped with quantitative and analytical tools as well as a solid grounding in economics and finance that will support you throughout your career. You will acquire a thorough understanding of the driving forces shaping the economic and financial environment.... [-]


Master in Financial Economics (with thesis)

Izmir University of Economics
Campus Full time September 2018 Turkey Izmir

Acquire a strong foundation for Ph.D. research or press on a career in a variety of roles within economics and finance. Master finance and economics tools and apply them to solve problems. Combine theory with practice, and prepare perfectly for a career in banking, asset management or consulting among others. [+]

"Acquire a strong foundation for Ph.D. research or press on a career in a variety of roles within economics and finance. Master finance and economics tools and apply them to solve problems. Combine theory with practice, and prepare perfectly for a career in banking, asset management or consulting among others."

Why Choose this Program?

This program not only gives you a strong foundation for Ph.D. research with its focus on the most recent developments in financial economics but also provides you with the tools to gain employment in a wide range of spheres.This program has been designed following consultation with alumni currently employed in a variety of finance sector occupations to bring theory and applications together in a balanced way to meet the needs of today’s competitive job market. You will be equipped with quantitative and analytical tools as well as a solid grounding in economics and finance that will support you throughout your career. You will acquire a thorough understanding of the driving forces shaping the economic and financial environment.... [-]


MA in Finance and Investment

InterActive Pro
Online Full time 18  August 2018 United Kingdom UK Online

Acquire the competencies to be a global contender in worldwide financial markets with your MA in Finance and Investment, awarded by the International Telematic University UNINETTUNO and delivered to you 100% online by InterActive. [+]

MA in Finance and Investment

Acquire the competencies to be a global contender in worldwide financial markets with your MA in Finance and Investment, awarded by the International Telematic University UNINETTUNO and delivered to you 100% online by InterActive. Become proficient in corporate finance principles, financial analysis, and investment management in as little as 18 months. With course delivery through InterActive’s advanced online learning platform, you will have access to leading course content, HD video tutorials, access to professional and peer student networks, and student support, all at your fingertips, everywhere, 24/7.

Course Requirements UK undergraduate degree or equivalent – any subject area English levels 5.5 IELTS (5.5 in all bands)or equivalent Students who do not meet academic requirements can be assessed on their relevant work experience [-]

Dual MSc & MA in Finance and Investment

InterActive Pro
Online Full time Part time 18  August 2018 United Kingdom UK Online + 1 more

Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance & Investment from the International Telematic University UNINETTUNO in partnership with Geneva Business School, delivered 100% online by InterActive’s industry-leading educational platform. [+]

Dual MSc & MA in Finance and Investment

Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance & Investment from the International Telematic University UNINETTUNO in partnership with Geneva Business School, delivered 100% online by InterActive’s industry-leading educational platform.

Students will receive comprehensive training in all aspects of global financial markets, global financial investment strategy and international banking. Graduates will be equipped with the tools required to compete effectively in the world of global finance.

With course delivery through InterActive’s advanced online learning platform, you will have access to HD video tutorials, a library of research resources, professional and peer student networks, and student support, all at your fingertips, 24/7. And with the option of a pay-as-you-go fee structure, you can earn your degrees in as little as 18 months.... [-]


MA in Quantitative Finance

University of Warsaw, Faculty of Economic Sciences
Campus Full time October 2018 Poland Warsaw

20th best program in Financial Markets worldwide according to EduUniversal Ranking 2014. [+]

The graduate program in Quantitative Finance (QF) at the Faculty of Economic Sciences at the University of Warsaw is a four-semester program on a full-time basis that provides students with outstanding knowledge of modern quantitative finance. It has been recognized by EduUniversal Top 100 in Financial Market ranking as the 20th.

You will use rigorous analytic tools, advanced derivatives valuation models, and portfolio management strategies in real dynamic conditions You will learn modern risk management techniques and quantitative investment tools You will acquire codding skills (C++, R, CRAN) that will enable you to implement financial models in practice You will know how to design and optimize automated trading strategies You will probably earn an equivalent of entire tuition within three months of work You will learn in international environment: 50% of students in the program are foreigners You will fluently use two main languages in the world in finance: mathematics and English ... [-]

Master of Arts (MA) in Banking and Finance

University of Zurich Faculty of Economics
Campus Full time Part time February 2019 Switzerland Zürich + 1 more

The MA in Banking and Finance of the University of Zurich provides you with an advanced academic education in the field of Banking and Finance. The degree qualifies you to enter into academically-oriented professions or continue your studies on a doctorate level. [+]

General description

The Master of Arts (MA) in Banking and Finance offers advanced economics training and enables students to undertake independent economic, project-oriented assignments. The degree qualifies students to occupy positions in economically-oriented careers and to enter further studies at Doctor level.

Structure of studies (CP = ECTS credit points): The four fields of study differ with reference to specific requirements. In Banking and Finance, 33 CP are acquired in compulsory fields together with a minimum of 27 CP in the fields of corporate finance, financial economics, quantitative finance and financial services. A minimum of 6 CP are acquired in each of the fields of political economics and business administration. Students also have the choice of focusing on individual subjects. Finally, the Master’s thesis accounts for a further 30 CP.... [-]


MA International Financial Analysis

Newcastle University Business School
Campus Full time Part time 12 - 24  August 2018 United Kingdom Newcastle upon Tyne Netherlands Groningen + 3 more

The programme focuses on the analysis of individual companies and as a result there is a substantial emphasis on corporate strategy, accounting and valuation. Of particular note is the practical study of real world data via DataStream and other industry sources, with an emphasis on developing skills in the manipulation of spreadsheets, databases, econometric and statistical software... [+]

MA International Financial Analysis

Accredited by Association of Chartered Certified Accountants (ACCA) and The Association of International Accountants (AIA), the programme provides candidates with seven exemptions from selected professional examination papers.

The programme focuses on the analysis of individual companies and as a result there is a substantial emphasis on corporate strategy, accounting and valuation. Of particular note is the practical study of real-world data via DataStream and other industry sources, with an emphasis on developing skills in the manipulation of spreadsheets, databases, econometric and statistical software.

The global economic crisis, high-profile banking failures and increased regulatory supervision have highlighted the importance of sound financial management and robust reporting. The International Financial Analysis degree has been developed specifically to meet this need, providing participants with skills in both quantitative and qualitative analysis, alongside an understanding of how accounting and finance expertise may be successfully combined to assess corporate performance and valuation.... [-]


Master of Arts in Economic Sociology and Sociology of Finance

Goethe University Frankfurt
Campus Full time October 2018 Germany Frankfurt

The consecutive Master’s degree programme builds on a Bachelor course of studies in Sociology and offers a research-oriented education in the sociological analysis of the modern economy in its social and historical contexts. [+]

The consecutive Master’s degree programme builds on a Bachelor course of studies in Sociology and offers a research-oriented education in the sociological analysis of the modern economy in its social and historical contexts.

From a social sciences perspective, the social, cultural, institutional and political foundations and references to economic activity and economic processes are investigated. Central topic areas are markets, work, culture of the economy as well as the institutional embedding of transnational economic processes. Particular emphasis is given to the investigation of actors and processes on global financial markets. Frankfurt as Main, as one of the most important European locations for the global finance industry, and the Rhine-Main Region as a metropolitan region and logistics hub, are ideal starting points for analysis of socio-economic questions.... [-]


MA in International Trade and Finance

Yasar University
Campus Full time September 2018 Turkey Izmir

Modern businesses are directly affected by current developments in international trade, the economic environment, and financial markets. For this reason, possible variables affecting these markets need to be fully understood and integrated into the decision making processes. [+]

“Today’s organizations are affected by the developments in the international trade, economics, and financial environments and they need to incorporate these changes into their decision making processes. Managers today should observe the ever so competitive global environment more carefully and make faster and more accurate decisions. For this reason, the need for managers who will keep up with the rapid changes in the international trade and finance environment is on the rise.”

Students who will graduate from the International Trade and Finance Masters Program will have a strong finance background and be able to grasp the application of theory into practice and evaluate the interaction between comprehensive global trade processes and international economic and financial environments. Students entering the program should have a bachelor’s degree from a faculty of economics and administrative sciences or a faculty of business. Admission of graduates from similar fields will be decided by the Institute Board upon the recommendation of the Department.... [-]


Master Finance (ma)

Allensbach University
Online Full time Part time 24 - 36  Open Enrolment Germany Konstanz + 1 more

The Master Finance comprises 120 ECTS and requires a Bachelor's degree in Economics with min. 180 ECTS. The program is offered by distance learning and is suitable for professionals. [+]

You already have a first degree and work in banking, finance or insurance sector? You want to move forward professionally and take on more leadership responsibilities in your company or in your bank? You wish to train in the foreseeable future without abandoning or limiting your job?

You expect from a Master Finance in addition to broad economic science training, excellent support and the development of your own personality?

To obtain this knowledge part-time and thereby be spatially and temporally flexible?

Then the program "Finance - Master of Arts" is exactly the right one for you. For he is the right answer to the challenges and the constant change, which for example is subject to the financial and banking industry. But employees of assets consultations or financial departments of companies to benefit from this master program.... [-]


Master of Arts in Global Risk (MAGR)

The Johns Hopkins University School of Advanced International Studies – SAIS Europe
Campus Full time 13  August 2018 Italy Bologna

This 13-month, cohort-based program builds on the core strengths of SAIS Europe by introducing students to a broad array of concepts and tools in the social sciences necessary to undertake sophisticated political and economic risk analysis. Students complete a capstone project in the form of a practicum or original thesis. [+]

This 13-month, cohort-based program builds on the core strengths of SAIS Europe by introducing students to a broad array of concepts and tools in the social sciences necessary to undertake sophisticated political and economic risk analysis. Students complete a capstone project in the form of a practicum or original thesis.

Analyze, Assess, Act: Tackling Risk in the 21st Century

The instability that has characterized the last decade has increased the demand for qualified professionals who are able to understand and analyze global risk in its many forms. Today's risk experts are no longer confined to the realm of actuarial tables or financial derivatives. Technology, politics, the environment, regulation, immigration, pandemics, and religious extremism are all areas where the theoretical frameworks of risk and uncertainty provide key insights and drive decision-making in both the public and private sectors.... [-]


MA in Corporate Finance and Accounting

Cracow University of Economics
Campus Full time October 2018 Poland Kraków

The program aims at deepening knowledge of finance and accounting in the area of monetary and financial policy, managerial accounting, local and household finance, financial statements, financial engineering, taxation; at graduates are equipped with specialized knowledge essential in jobs in international companies and institutions of the financial markets related to corporate finance and accounting. [+]

Short information:

Program aims at deepening knowledge of finance and accounting in the area of monetary and financial policy, managerial accounting, local and household finance, financial statements, financial engineering, taxation; Program graduates are equipped with specialized knowledge essential in jobs in international companies and institutions of the financial markets related to corporate finance and accounting. Courses Monetary Policy Managerial Accounting Portfolio Management Intellectual Property Law Ethics in Business Mathematical Economics or Global Economics Business Communication in Foreign Language Master’s Seminar Cost Account Credit Institution Management Standards of Financial Statements Financial Policy Local Finance or Household Finance Corporate Finance II Financial Engineering International Finance III Consolidation of Financial Statements Tax System Elective Course [-]