Master's Program in International Finance in Europe

Top Masters Degrees in International Finance in Europe 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.

There are more than four thousand higher education organizations in Europe, from leading research institutions to small, teaching-focused universities. Europe itself is not as much different than other continents, reaching from the Arctic Circle to the coast of Africa.

Master's Program in International Finance in Europe

Read More

Master of Finance

Hult International Business School
Campus Full time August 2017 USA Boston San Francisco United Kingdom London United Arab Emirates Dubai China Shanghai New York Cambridge + 9 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 Master's Degrees in International Finance in Europe 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,... [-]

Master's in Finance

NHH Norwegian School of Economics
Campus Full time August 2018 Norway Bergen

Degree: MSc in Economics and Business Administration [+]

Degree: MSc in Economics and Business Administration ECTS credits: 120 Duration: two years The programme prepares students for a wide range of outstanding career opportunities within financial services, consulting and auditing. The portfolio is designed and taught by NHH’s internationally recognised finance faculty, whose academic research and industry knowledge ensure that the courses are relevant and of high quality. The courses combine a rigorous theoretical approach with relevant applications and students will develop a deep understanding of the theoretical framework and empirical evidence in finance. You will learn to analyse real-life problems related to financial markets and financial decision-making in firms, and to apply principles at the research frontier. Upon completion of the programme, you will possess skills for performing investment analysis and valuation, evaluating portfolio management strategies and techniques, and making corporate finance decisions and risk management considerations. ... [-]

Master of Science in International Finance

Geneva Business School (GBS)
Campus Full time Part time 18  September 2017 Switzerland Geneva Spain Barcelona + 3 more

The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. [+]

Best Master's Degrees in International Finance in Europe 2017. The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. You will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges. Facts Duration: 18 months Credits: 90 ECTS Language: English Intakes: February and September Degree Awarded: Master of Science in Finance (MSc.F) Major in International Finance. Exchange Program: Rotate between Geneva and Barcelona campuses. We offer the opportunity of studying in both campuses during the 18 month master program. Internships: Students have internship opportunities with important companies. Location: Geneva and Barcelona Program The international nature of GBS has led to the development of a system that combines the European approach of using ECTS credits with a curriculum structure that is commonly implemented in the United States. Each program major allows students to study general education, core and elective subjects which cover 80% of all curriculums, 20% dedicated to orientation subjects related to their specific major, these subjects are unique for each Program. Orientation Subjects Wealth Management Hedge Fund Analysis & Management Finance and Banking International Financial Crisis Capital Budgeting Financial Markets Career Options Insurance Agent Loan Officer Real Estate Agent Financial Analyst Financial Advisor Corporate Accountant Stock Broker Securities Trader Banker Application and Admissions Selection Criteria GBS’s selection process emphasises... [-]

Specialised Programme in Quantitative Finance

emlyon business school
Campus Full time September 2017 France Paris

The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. [+]

Specialised Programme in Quantitative Finance Gain scientific, technical and financial skills The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. This 12-month programme has been developed to help graduates from engineering schools and universities, possessing a strong background in mathematics, computer science, physics and similar areas of expertise, launch their career in quantitative finance. After completing this specialised programme, graduates take up various positions like Risk Manager, Financial Engineer or ‘Quant’, Asset Manager, Fund Manager and others. The academic courses include both the fundamentals of management as well as specialised courses like quantitative methods, economic and financial environments, life insurance and pension funds management. This academic part takes place in Paris and is complemented by a 6 month internship. If you are looking to enter the international world of finance, and want to become part of a network of over 27,000 professionals around the globe, then the Specialised Programme in Quantitative Finance is the right programme for you! emlyon business school is one of the first Business Schools to provide the Quantitative Finance Specialised Programme students with official training to obtain the French Financial Securities Authority (AMF) certification. This certification is mandatory for all professionals of the French financial markets, products and advisory activities. Fast Facts Campus Day: Meet us in Paris on January 21st! Study in Paris, one of the top european financial centers Gain scientific, technical and... [-]

MSc in International Accounting, Auditing, and Financial Management

International Hellenic University (IHU)
Campus Full time Part time 12  October 2017 Greece Thessaloniki + 1 more

The International Hellenic University is Greece’s first state university, where programmes are taught exclusively in English. It already attracts a strong international academic faculty [+]

Best Master's Degrees in International Finance in Europe 2017. The International Hellenic University is Greece’s first state university, where programmes are taught exclusively in English. It already attracts a strong international academic faculty and outstanding students from Southeast and other European and Black Sea countries. As a state University, all degrees awarded are accredited by the Government and are recognized in the European Union and internationally. The Programme The MSc in International Accounting, Auditing, and Financial Management has been developed by experts with experience in international accounting, auditing, and finance in both academia and industry. The MSc combines accounting and auditing knowledge with expertise in finance, which helps students gain the necessary knowledge of the international accounting and finance environment. Ideal Career Path The Careers Office of the International Hellenic University provides you with focused events, access to career information, vacancy information, career fairs, Erasmus opportunities and internships. The programme supports students who aim for careers as: - Accountants - Auditors - Consultants in accounting, auditing, tax and financial management - Tax revenue officers - Corporate Lawyers Programme Structure Core modules: Accounting and Financial Analysis| Auditing| Accountability, Governance and Regulation| Management Accounting| Credit Analysis for Bank Loan Decision Making| Foundations of Finance |Corporate Finance | Quantitative Methods Elective modules (you can choose four): Taxation | | Advanced Auditing | Accounting Information Systems | Transfer Pricing | Advanced Company Valuation | Corporate Governance Sustainability: Accounting and Reporting | Accounting Fraud Examination | Ethics in Accounting Banking Legal Environment | Financial Regulation... [-]

Master in International Trading System

Saint Petersburg State University
Campus Full time September 2017 Russia St. Petersburg

The Department of World Economy is a dynamically developing educational and research university subdivision. Today it is one of the leading think tanks in Russia on trade policy issues. The staff carries out research projects, including international ones, in various aspects of international economic relations. [+]

Overview The Department of World Economy is a dynamically developing educational and research university subdivision. Today it is one of the leading think tanks in Russia on trade policy issues. The staff carries out research projects, including international ones, in various aspects of international economic relations. The leading professors of the Department have substantial experience in delivering lectures in foreign universities. In 2010 the Department was awarded the status of WTO Chair. The WTO Chairs Programme (WCP) aims to support and promote trade-related academic activities of universities and research institutions in developing and least- developed countries. Academic institutions awarded such status receive support in the following areas: curriculum development, teaching, research and outreach activities. The Chairs have been selected through a competitive bidding process. Every year the students of the program participate in an internship on the basis of international economic organizations in Geneva such as UNCTAD, WTO, WIPO, ITC, etc. Representatives of international economic organizations take part in the program as lecturers. Programme outline Compulsory courses: Research Methods Seminar on the International Trading System Institutional Economics: The Advanced Level Theory and Practice of International Economic Relations Theories of International Relations and Foreign Policy Analysis Contemporary Theories of International Management and Marketing Seminar ‘Countries in the System of World Trade Organization’ Elective courses: Global Economic Development: The Trends and Prospects International Trade: Modern Trends and Methods of Analysis Business Communications – II External Economic Policy of Russia and the European Union Theory and Practice of International Business – II International... [-]

Masters In Management Accounting And Management Control

EAE Business School
Campus Part time October 2017 Spain Barcelona Madrid + 1 more

The Master in Management Accounting and Control is a modular structure through two different graduate programs: the Graduate Management Graduate Accounting and Management Control. [+]

Master in Management Accounting and Control

The Master in Management Accounting and Control is a modular structure through two different graduate programs: the Graduate Management Graduate Accounting and Management Control.

When running an organization in today's business ecosystem, with a globalized economy and increasingly competitive, information has become a basic factor in the decision making process. For this process can be developed efficiently is essential that the information that supports capture with total accuracy, the business reality that we face.

The accounts are presented as the best tool to capture all this financial information, and is a basic pillar when planning future strategies of the organization. The manager needs to have accurate and useful information for decision-making, and for that the accounts should be organized so that it is the hub of information and business management. ... [-]


Master of Finance, Banking, and Investment

Matej Bel University
Campus Full time September 2017 Slovakia Banská Bystrica

Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. [+]

Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. Although the largest share of the graduates work in financial institutions, they are also to be found in other businesses and organizations in both the private and public sectors, including customs and tax authorities, other government bodies at all levels, and in the field of tax advice. The fact that the study programme is taught in English or French and at the same time includes the participation of foreign universities gives students a chance to improve their language skills and professional preparedness, and it also enhances the market reputation of their qualification, the standing of the Faculty of Economics of Matej Bel University and its partner universities. The structure of the programme and its component courses together with the expertise and research experience of the teachers allow students not only to prepare for professional practice, but also to learn how to become expert researchers and teachers in the fields of financial management, international finance, international accounting, banking, monetary theory and policy, and financial markets. Theoretical knowledge Graduates of the programme are able to find and present their own solutions to problems in theoretical research, and to apply creatively their theoretical knowledge to practical solutions. They will have deep knowledge of the modern economic theories of money and finance, financial analysis and forecasting, and policy analysis. Practical skills Graduates will have the practical skills... [-]

Master in Monetary and Financial Economics

ISEG - Lisbon School of Economics & Management
Campus Part time September 2017 Portugal Lisbon

The MSc in Monetary and Financial Economics is intended to complement and to deepen first cycle education provided by a degree in Economics or Finance. [+]

 

The aims of the Master (MSc) in Monetary and Financial Economics are:

(i) providing advanced knowledge in the monetary and financial fields, based upon the most relevant results achieved by the scientific community;

(ii) initiating its students in scientific research, by practicing the appropriate techniques and methodologies; and

(iii) preparing the senior staff in monetary and financial institutions linked to financing the economy and the monetary policy issues. This MSc gives direct access to the doctoral programme in Economics at ISEG.

  Target Audience

The MSc in Monetary and Financial Economics is intended to complement and to deepen first cycle education provided by a degree in Economics or Finance. The main objective is that students learn how to analyze problems in a rigorous and constructive way, developing their ability to assess the contribution of research in Monetary and Financial Economics to solve the problems in the area, and to use advanced empirical and theoretical tools in Economics and Finance.... [-]


Master in International Financial Analysis

Jönköping University
Campus Full time September 2017 Sweden Jönköping

Deepen your knowledge of financial markets and financial analysis in a unique environment. [+]

Deepen your knowledge of financial markets and financial analysis in a unique environment. The operation of financial markets is one of the most complex topics of study due to what underlies them: interactions among human beings, with all of their conceptions and misconceptions about the reactions of other human beings. This one-year programme provides you with the theoretical background and the advanced mathematical and empirical tools required in advanced financial ana­lysis. The education aims to provide stu­dents with advanced analytical skills suita­ble to support the financial operations of firms and financial institutions in general. The curriculum is especially designed to match the requirements faced by subjects operating in international markets, taking into account the need for continuous renewal and the constant development of the business environment. All courses in the programme are given in English. Due to the fact that JIBS has an exchange programme including about 180 partner universities, and that the pro­gramme is open to students from around the world, the courses have a diverse international participation of students. This international atmosphere contribu­tes to a broad perspective of the issues discussed in class. This programme is supported by faculty with substantial experience of dealing with financial markets and strong research records in methods required for financial analysis. JIBS has very active research in the fields of international finance, financial economics and statistics, corporate governance, and time series econometrics, with a considerable num­ber of publications within these areas in internationally-renown refereed journals. After graduation This education prepares students for... [-]

Master in Finance

University of Porto School of Economics and Management.
Campus Full time September 2017 Portugal Porto

The Master in Finance is a two years full-time programme totally taught in English, designed under the rules of the Bologna Protocol. The programme offers scientific and professional training in the areas of Corporate Finance and Financial Markets, which is suitable for those intending to pursue their scientific and technical education in the area of Finance. The programme has a flexible structure, both... [+]

Best Master's Degrees in International Finance in Europe 2017. The Master in Finance is a two years full-time program totally taught in English, designed under the rules of the Bologna Protocol. The program offers scientific and professional training in the areas of Corporate Finance and Financial Markets, which is suitable for those intending to pursue their scientific and technical education in the area of Finance. The program has a flexible structure, both in terms of curriculum and duration, and gives students the flexibility to adapt the electives to their personal interests and career prospects. The Master program concludes with the preparation of a dissertation, project work, or professional traineeship, all of which under the scientific supervision of a faculty member. The Master in Finance offers advanced and innovative second cycle tuition, the quality of which is ensured by the school faculty, composed of a highly qualified academic staff, with extensive and relevant experience in management and consultancy activities. It is based on up-to-date learning methods, including the presentation of concepts and theoretical models, and an extensive use of case studies. Candidates must be available for a demanding full-time program, with classes running during the day and extensive extra class work. The second year of the program can be compatible with a professional activity. The MSc Finance programme at FEP (U.Porto) is part of the QTEM - Quantitative Techniques for Economics and Management network, facilitating the access by the best students to study and work abroad within the QTEM Master network... [-]

International Master in Finance - Bilingual

EADA - Escuela de Alta Dirección y Administración
Campus Full time October 2017 Spain Barcelona

Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers. [+]

What will I get out of this program?

The goal of EADA's international programmes is to develop management competencies in the participants, placing emphasis on four fundamental areas. Mastery of specific business tools and techniques.  Development of interpersonal competencies that are essential to international managers.  Acquiring a global vision of the company and its strategic position in the business environment.  Participants will learn to effectively apply the elements of this dynamic "mix of talent" as they develop their professional careers. 

Methodology

EADA has developed its own practical, active and participative approach with emphasis on "learning by doing".  The methodology reflects companies' demand for professionals with skills such as: the capacity to reflect, ability to act in the face of change, versatility to work in multifunctional teams and adaptability to the challenges of a global environment.  ... [-]

Master Programme in International Trade, Finance and Development

Barcelona Graduate School of Economics
Campus Full time September 2017 Spain Barcelona

Degree Awarded: Official Degree in Specialized Economic Analysis. [+]

Master Program - International Trade, Finance and Development

 

International Trade, Finance, and Development (ITFD) is a demanding master program that combines rigorous analytical training with a focus on policy. The course starts with a set of classes in growth, finance, trade, and statistics, and then proceeds to more applied topics. Starting in the second term, students can chose one of two specialized tracks – development, and international trade and finance. Students choose from a wide array of courses, from evaluating development programs to the dynamics of foreign exchange markets. In addition, students prepare a policy project that allows them to apply the skills acquired. In the third term, outside experts share their experiences of applying economic analysis to real-life problems, whether it is in reshaping policy, devising trading strategies, or helping children in Africa.... [-]


Master of Finance

Asia Pacific University of Technology & Innovation (APU)
Campus Full time Part time 18 - 60  January 2018 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. [+]

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... [-]

Master in International Corporate Finance (MICF)

Universitatea De Vest Din Timisoara
Campus Part time September 2017 Romania Timisoara

Faculty of Economics and Business Administration is the largest faculty within the West University of Timisoara. Within this framework, the Finance Department has an unique position, by offering one of the most attractive career paths for both Romanian youth and foreign citizens willing to study in a multicultural educational environment. The Finance Department is strongly interconnected with public and private financial institutions/companies, recruitment agencies and successfully collaborating practitioners for providing an educational package adapted to the labor market` needs, a consistent internship program and a fast graduates` employment process in the labor market [+]

Best Master's Degrees in International Finance in Europe 2017. Faculty of Economics and Business Administration is the largest faculty within the West University of Timisoara. Within this framework, the Finance Department has an unique position, by offering one of the most attractive career paths for both Romanian youth and foreign citizens willing to study in a multicultural educational environment. The Finance Department is strongly interconnected with public and private financial institutions/companies, recruitment agencies and successfully collaborating practitioners for providing an educational package adapted to the labor market` needs, a consistent internship program and a fast graduates` employment process in the labor market. Subject area: MICF offers a solid foundation of business practices, financial principles and skills that underpin a company's financial decisions. Duration and price: The MICF` students gain the necessary skills in the financial management of the company to suit their career aspirations by a full-time study (2 years - classes are available during evening hours). The applied component: In order to develop knowledge and skills for specific career paths in the financial institutions` world, master students carry out various team projects, case studies - business simulation software for companies, capital markets transactions, and they participate in work-shops and conferences. Main course titles 1st Year International Financial Management Corporate Governance Corporate Social Responsability & Strategy Behavioral Finance Corporate Finance CorporateTaxation Financial Institution Management 2nd Year Advanced Financial Statement Analysis Financial Risks Modelling and Management Mergers&Aquisitions Portofolio Management CorporateValuation Internships Potential labour market positions following graduation Credit institutions/commercial banks: top-management,... [-]