Masters Program in Financial Management in Moscow Russia

Top Masters in Financial Management in Moscow Russia

Financial Management

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.

Financial management studies are for those who want an education on financial planning and how to make good decisions about investments and other financial matters. Students may learn how to apply certain management methods to real business situations.

Russia or, also officially known as the Russian Federation, is a country in northern Eurasia. Education in Russia is provided predominantly by the state and is regulated by the Ministry of Education and Science. In Russia, it takes about 70 % of training time for the contact lessons with a teacher, the rest 30 % of the workload are devoted to the independent study of the material.

Moscow city is considered to have the most political influence in Russia. It home to some of the world’s billionaires. Moscow has over 11 million people and a vibrant economy. The city has 60 state universities and a majority of the student major in sciences.

Best Master Degree in Financial Management in Moscow in Russia

Read More

Master in Finance

Higher School of Economics
Campus Full time September 2017 Russia St. Petersburg

The Master’s programme (38.04.08) in Finance (MiF) provides training for both professionals in financial and risk management, and for scholarly researchers in the area of finance. The programme focuses on creating and developing competencies in financial management and risk-management for financial institutions and non-financial companies. [+]

Masters Degrees in Financial Management in Moscow Russia. Programme overview The Master’s programme (38.04.08) in Finance (MiF) provides training for both professionals in financial and risk management, and for scholarly researchers in the area of finance. The programme focuses on creating and developing competencies in financial management and risk-management for financial institutions and non-financial companies. The main emphasis is on contemporary theory and modern practices in corporate finance and risk management. At the same time, the programme provides fundamental knowledge in the broad area of finance that ensures our graduates are prepared for a diversity of career pathways, including in, the real sector of the economy, banks, investment funds, consulting companies, insurance companies and elsewhere. The focus on research-based teaching, delivered through a combination of student research projects, internship opportunities, dissertation work and taught courses also equips students for entry into an academic career via a PhD programme. The programme is designed to serve different types of students. For graduates in Economics or Finance, the programme is an ideal opportunity to continue and deepen their studies, but it is also suitable for strong students with a previous background in other subject disciplines. We incorporate ‘adaptation’ modules that are designed specifically for helping the transition from other disciplines into the finance sphere. The programme has been thoughtfully designed through a process of collaborative work between researchers and practitioners in the area of Finance and has involved international benchmarking, incorporation of best practice and understanding how best to exploit the local comparative... [-]

Master in Accounting & Financial Management

Stockholm School of Economics
Campus Full time

Prepares you for careers such as Financial Analyst, Business Controller, Chief Financial Officer (CFO) & Investment Banker. [+]

As a graduate from our program you will have a deep understanding of how financial and non-financial controls can be integrated and used for steering purposes in multinational companies, how large companies report to external share- and stakeholders and how those evaluate the financial and non-financial performance of companies. Key topics include financial reporting principles, business control, capital budgeting, financial analysis and corporate valuation. In all our courses we take an analytical and international perspective. For example, in the financial reporting core courses we do not teach Swedish GAAP but rather focus on the main concepts and principles that lie behind most international accounting standards such as IFRS. Consequently, the insights you get in the program remains valuable also when concrete financial standards change. We see accounting as a language you need to understand in order to properly analyze and understand a business corporation. As an exclusive program with relatively low numbers of students, we can offer an intimate and creative learning environment. Our faculty (all active researchers) is engaged in pedagogical development and intrigued by the learning journey of our students. The program is thoughtfully designed to encompass a variety of pedagogical methods such as lectures, group work, case teaching and a high degree of real-world examples. With close connections to the business community we are also able to have frequent guest lectures by top management of multinational firms. Specific program requirements: ... [-]

Master of Science Degree Course

Higher School of Finance and Management of the Russian Academy of National Economy and Public Administration
Campus Part time 2 - 3  September 2017 Russia Moscow

Master of Science Degree programmes of the SHFM is the second higher financial education meeting the International standards of learning experience. [+]

Masters Degrees in Financial Management in Moscow Russia. Master of Science Degree programmes of the SHFM is the second higher financial education meeting the International standards of learning experience. MS DEGREE PROGRAMMES OF SHFM ARE THE SECOND HIGHER FINANCIAL EDUCATION OF HIGH QUALITY Career guidance and employment guarantee. Comprehensive course for generalist financial managers. Employment in foreign and domestic corporations. Respectable salary and prearranged career development. The latest knowledge in economics. International standards of economic activity. Applied Corporate Finance. Investment and financial analytics of international standing. Financial English. ICFE Diploma of the University of Cambridge. Foreign certificates and diplomas. State diploma of higher education, as well as diplomas and certificates of international universities, ICFM, ICFE. INTERNATIONAL OPPORTUNITIES: Integrated overseas training modules Corporate Finance, jointly with the University of Portsmouth, UK Budgeting and Controlling, jointly with DMAN (German Academy of Management) The joint programme with Solvay Brussels School (2 diplomas awarded) International Certificates of Training A diploma of the Institute of Certified Financial Managers (ICFM in IFRS), Cambridge University Certificate in Financial English (ICFE). Focus area: Management A “Master of Management” degree state diploma is awarded The Programme goal - is to prepare financial managers- generalists, portfolio and risk managers and consultants to work in financial services of domestic and foreign companies. Competencies: IFRS: development and presentation of financial statements; General, strategic and functional management; Capital budgeting and investment solutions; Global economy and finance; Corporate and derivative financial instruments; Real options and strategic alternatives; Diagnostics and due diligence of financial policy;... [-]

MSc Financial Management And Investment

Moscow State University of Economics, Statistics and Informatics MESI
Campus Full time Part time 4 - 5  September 2017 Russia Moscow + 1 more

Financial management and investment - one of the important directions of modern master training, has become commonplace in many countries.Its popularity is due to the ever-increasing [+]

MSc Financial Management and Investment

Language of instruction: Russian

Financial management and investment - one of the important directions of modern master training that has received the most widely distributeds all over the world.Its popularity is due to the ever-growing needs of the labor market in competent professionals trained in line with the demands of practice, holding a solid knowledge in the field of economy and finance, investment, capable of generating innovativennye ideas, implement them, and demonstrate the ability to solve business problems for the organization of the business, its sustainable development and introduction of advanced technologies that promote enterprise competitiveness in a globalized world. The purpose of the program: the training of professional economists and managers with in-depth knowledge of financial management and a broad range of investment disciplines, owning the latest technology financial management is efficient canbut to manage the company in the current economic conditions and to identify prospective investment targets. ... [-]