Masters Degree in Finance in the Loire-Atlantique France

Top Master Degrees in Finance in the Loire-Atlantique France

Finance

A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.

 

Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.

France offers a superb higher education system to not only its citizens but also foreigners. The country's dynamic culture attracts foreign students and those interested in pursuing international courses. France has a tradition of scientific and technological innovation. This ensures that scholars fully utilize their creativity.

Top Master's in Finance in the Loire-Atlantique in France

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Master In Finance (Spanish)

University of Deusto: Deusto Business School
Campus Full time 12 

A key feature of the Master taught in Spanish is the flexibility it gives the participant making competent to work in very different fields of financial management (industrial and service companies, banks and financial institutions, asset managers, etc. [+]

Masters in Finance in the Loire-Atlantique France. Program Description The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. A key feature of the Master is the flexibility it gives the participant making competent to work in very different fields of financial management (industrial and service companies, banks and financial institutions, asset managers, etc. The Master in Finance is aimed at: Licensed / as or graduates / as in Administration and Management (or similar degrees) It is also open to graduates / as in other disciplines who wish to acquire a solid background in the financial field. In this case they will have to previously acquire skills in the financial sector by a Preparatory Intensive Course taking place in the months of July to September prior to the start of the program. Program Subject Corporate finance Markets Banking and Wealth Management Practices End of Master Project Admission requirements Academic requirements: Graduates / as in Business Administration (or equivalent). They have direct access to the selection process. Graduates in other degrees must perform intensive pre-master. Languages: The Master is taught primarily in Spanish and some courses in English at a level equivalent to C1 is required in both languages. Proof of English proficiency: the following titles that are equivalent to C1 may be submitted: Certificate in Advanced English - CAE BEC Higher TOEFL from 80 IELTS from 6.5 There is also the possibility of an internal level test organized by the Language Institute of the University of Deusto or take and pass courses leading to level C1 of the Institute of Languages ​​of the University of Deusto. If the candidate simply B2 level of English at the time of applying for the program, it can be provisionally admitted on condition that their level of English at the time of enrollment (in September) becomes C1 . This involves an explicit commitment of the candidate provisionally admitted to improve their English in the period between the request for admission and completion of enrolment. Professional experience: It is not necessary to have professional experience, although it is considered as added value that candidates provide. Career prospects A key feature of this program is the flexibility provided by the participant, making him competent to work in very different fields of financial management: Financial departments of companies (management, planning, treasury ...) Investment Management investment fund managers, pension funds ... Financial analysis and market operations: agencies or brokers. Consulting and financial advisory Financial institutions: commercial banking, corporate banking, risk and abroad, private banks, insurance companies ... Investment Banking: Mergers and acquisitions, business valuation ... The Careers Department of Deusto Business School aims to facilitate contact with the business world and to equip participants of the University Masters of some tools to help them promote and improve their employability. [-]

Master in Finance / Campus San Sebastian (Spanish)

University of Deusto: Deusto Business School
Campus Full time 12 

The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. [+]

Program Description The main aim of the course is to acquire a professional profile with advanced training in the field of finance to allow developing positions of responsibility in this field in a short period of time. A key feature of the Master is the flexibility it gives the participant making competent to work in very different fields of financial management (industrial and service companies, banks and financial institutions, asset managers, etc. The Master in Finance is aimed at: Licensed / as or graduates / as in Administration and Management (or similar degrees) It is also open to graduates / as in other disciplines who wish to acquire a solid background in the financial field. In this case they will have to previously acquire skills in the financial sector by a Preparatory Intensive Course taking place in the months of July to September prior to the start of the program. Program Subject Corporate finance Markets Banking and Wealth Management Practices End of Master Project Admission requirements Academic requirements: Graduates / as in Business Administration (or equivalent). They have direct access to the selection process. Graduates in other degrees must perform intensive pre-master. Languages: The Master is taught primarily in Spanish and some courses in English at a level equivalent to C1 is required in both languages. Proof of English proficiency: the following titles that are equivalent to C1 may be submitted: Certificate in Advanced English - CAE BEC Higher TOEFL from 80 IELTS from 6.5 There is also the possibility of an internal level test organized by the Language Institute of the University of Deusto or take and pass courses leading to level C1 of the Institute of Languages ​​of the University of Deusto. If the candidate simply B2 level of English at the time of applying for the program, it can be provisionally admitted on condition that their level of English at the time of enrollment (in September) becomes C1 . This involves an explicit commitment of the candidate provisionally admitted to improve their English in the period between the request for admission and completion of enrollment. Professional experience: It is not necessary to have professional experience, although it is considered as added value that candidates provide. Career prospects A key feature of this program is the flexibility provided by the participant, making him competent to work in very different fields of financial management: Financial departments of companies (management, planning, treasury ...) Investment Management investment fund managers, pension funds ... Financial analysis and market operations: agencies or brokers. Consulting and financial advisory Financial institutions: commercial banking, corporate banking, risk and abroad, private banks, insurance companies ... Investment Banking: Mergers and acquisitions, business valuation ... The Careers Department of Deusto Business School aims to facilitate contact with the business world and to equip participants of the University Masters of some tools to help them promote and improve their employability. [-]

Finance, Risk And Control (ms Frc)

Audencia Business School
Campus Full time 12 - 15  September 2017 France Nantes

The Master program Spécialisé®en Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. [+]

Masters in Finance in the Loire-Atlantique France. Exploration 360 Financial Markets The Spécialisé® Master Program in Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. Corporate Finance (45%) Measure, analyze and improve financial performance Financial Cycle Profitability Value Creation Financial Analysis Investment Financial flows Finance market (35%) Develop sophisticated financial strategies tailored to the needs of modern globalized economies Financial globalization Generation financial products Foreign exchange market organization Functioning of market halls Process Management Control of financial institutions Risk Management (20%) Understanding the functioning of markets, risk analysis and control issues Type of risks in financial markets Statistical process control Evaluation of financial assets Mathematisation risk Portfolio management 4 to 6 months corporate internship In parallel courses and projects, a module dedicated to the personal development where everyone is accompanied individually throughout the year to prepare for APPLY, build a career plan, preparing her career, choose a course and prepare his professional thesis The trading room An outstanding opportunity to put daily in real situations One of the main strengths of Spécialisé® Master in Finance, Risk and Control is undoubtedly the trading room. This valuable tool at the disposal of the privileged circle are the students in the program and thus makes this unique Master. His unlimited access indeed allows them to organize themselves to use the trading room and search for useful information in the development of analysis. The professional thesis: a guarantee of expertise for employers The graduation of Master Spécialisé® assumes defense of a professional thesis. This is an in-depth personal work of analysis and reflection on a problem related to international news and constructed from concrete information collected. Each will focus this study in relation to its own path and its interests. Finally, it relies on the mission of 6 months in business that is in the logic of the professional project. This expertise significantly enhances the industry knowledge of each student and greatly facilitates the integration of graduates into the workforce.   Some examples of professional thesis: Evaluating the performance of the Bank of France score on the construction sector in the Pays de Loire region Risk-return infrastructure funds Analysis: a new asset class Business innovation and market performance The impact of adopting IFRS on French accounting standards. The era of big data, between risks and opportunities for banks Some examples of targeted competencies: Quantitative Finance Valuation of assets and businesses Merger acquisition Shareholder and bond management Management Diagnosis and Risk Management Regulation and compliance of the financial and insurance institutions Financial and strategic research company Financial engineering analysis Prudential treatment Developing a mapping of operational and financial risks Ensuring the adequacy of financial and economic analyzes Assessment of compliance with the requirements of prudential regulation Proposal of corrective actions to responsibility centers   Examples of career opportunities: Financial analyst Trader Market Maker (Market Maker) Portfolio Manager Through markets Merger & Acquisition Manager Structurer Fund Manager Financial auditor Management control Accounting Inspector Credit Analyst Asset Liability Manager (ALM) Chief Risk Officer Currency risk manager [-]