Master in Finance in Milan Italy

Top Masters Programs in Finance in Milan Italy

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.

Italy, officially the Italian Republic, is a unitary parliamentary republic within the European Union, located in Southern Europe. To the north, it borders France, Switzerland, Austria, and Slovenia along the Alps.

For all those who are interested in studying Fashion and latest trends Milan is the best place to go. It has all the good training institutions which provide good quality education at a reasonable cost. University of Milan and Polytechnic University of Milan are some of the well-known universities.

Top Masters Program in Finance in Milan in Italy

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Master's Programme in Finance

Umeå University, Umeå School of Business and Economics
Campus Full time

This Master's Programme in Finance is given by the Umeå School of Business and Economics. This program provides a conceptual and analytical framework for understanding and applying financial theory and offers a thorough grounding in finance that its graduates can ... [+]

Master's Programme in Finance, 120 ECTS

This program is given by the Umeå School of Business and Economics. This program provides a conceptual and analytical framework for understanding and applying financial theory and offers a thorough grounding in finance that its graduates can build upon for the remainder of their business careers. Corporate Finance and Credit and Risk Management cover both long-term and short-term financial management for firms. Investments and Financial Statement Analysis provide in-depth insights into the valuation, management, and construction of investment portfoliosWith the exception of some elective courses, the program is offered in English. Level of Education: Second degree studies.... [-]


Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School)

Sciences Po
Campus Full time

The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. [+]

Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School) Dual degree program - Penn Law Sciences Po and Penn Law: Two world class institutions Sciences Po at a Glance Sciences Po functions as a top-level research university in the social sciences, offering a wide and varied curriculum and drawing on academics and experts in such fields as political science, international relations, sociology, law, and economics. Scholars as well as professionals from the business world and public administration comprise Sciences Po's distinguished faculty. Located in the heart of Paris, Sciences Po is a symbol of excellence and attracts outstanding students from all over the world. With more than 470 partner universities worldwide and 47% of international students, Sciences Po has become a truly international institution. Innovation and creativity in research and education have always been a driving force at Sciences Po. Through its multidisciplinary programs, Sciences Po delivers a solid methodological training and provides students with the tools to deal with complexity. Besides, Sciences Po's education constantly encourages bold intellectual attitudes and mutual respect and consideration. Penn Law at a Glance Penn Law is a world leader in legal education, uniquely equipping students with the knowledge and skills they need to excel in today's legal marketplace, wherever their career aspirations and intellectual interests take them. Our Strengths: The Wharton Business and Law Certificate, a custom designed program taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. World-class faculty who are celebrated scholars and devoted teachers. A culture of collegiality, where students feel welcome and supported, allowing students to safely take risks that deepen and broaden their study. The Law School: The Law School's campus is state-of-the-art, with four fully interconnected buildings surrounding a green courtyard. Students are steps away from the amenities of the University of Pennsylvania, with its activities for graduate and professional students, its state-of-the-art gym and health club, and its many libraries, museums, theaters, lectures, and events. Program overview A high standard multicultural program in Finance and Law The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. The curriculum blends financial and legal expertise and professional skills courses. It is designed to offer advanced education in the area of financial law and to give students the opportunity to develop a top-level career in the private, public or non-profit sectors. All students will spend their first year at Sciences Po, and their second year at Penn Law. After two years of study, and provided credits have been completed in both institutions, students will receive Master's degrees from both Sciences Po (Master's in Finance and Strategy or Master's in Economics and Business) and Penn Law (LLM). The faculty involved in this program is comprised of internationally renowned academics and practitioners. By joining both the Penn Law and Sciences Po communities, dual degree students will be able to benefit from the exceptionally stimulating intellectual environment of both institutions during the duration of the program, and as alumni to extend their networks and opportunities to both sides of the Atlantic. Students participating in the program will have access at both Sciences Po and at the University of Pennsylvania to all facilities normally offered to students, such as libraries, computer network, career services, sports facilities, and student associations and cultural life. Year 1 at Sciences Po Students who are jointly admitted will spend their first year of study at Sciences Po either in the Master Finance et Stratégie (French taught) or in the Master Economics and Business (English taught): Master Finance et Stratégie, mention International Business (French taught program) Master Economics and Business (English taught program) A specific concentration can appear on the Master's degree at Sciences Po according to the courses completed at Penn Law. The Master in Finance and Strategy and the Master in Economics and Business gather a very diverse student body, in terms of academic as well as cultural backgrounds, with more than 40% international students. Year 2 at Penn Law Students spend their second year at Penn Law earning an LLM alongside 115 other foreign-trained attorneys, typically from over 30 countries. The LLM is a one-year, full-time course of study in advanced legal topics. Students select courses from an extensive curriculum of specialized courses and seminars at Penn Law. Penn Law grants a generalized LLM that allows each student to design his or her own curriculum and, in doing so, may choose to focus on a particular topic. LLM students take courses alongside our upper level JD students and are with us for ten months including the five-week summer program. Penn Law LLM students are also eligible to enroll in the Wharton Business and Law Certificate (WBLC), a custom designed program for Penn Law LLM students taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. All LLM students may participate in this program which runs concurrently with the LLM program. In addition to our outstanding course offerings, our LLM students have the opportunity to gain real world US legal experience. As an integral part of the program, the LLM Public Service Program provides students with important opportunities to develop their professional skills while learning more about the communities that exist beyond the walls of Penn Law as well as supporting students seeking to satisfy the New York Bar pro bono requirement. LLM students are also eligible to participate in four clinical programs focusing on Entrepreneurship, Intellectual Property and Technology, International Human Rights and Immigration, and Mediation. At Penn Law, LLMs also have the opportunity to get involved with JDs in student groups ranging from Law School Light Opera Company to Penn Soccer Club, and including participation in Journal of International Law, Journal of Asian Law, and Journal of Constitutional Law. Penn Law has staff dedicated to supporting LLMs, including a Career Counselor who provides LLM specific programming and materials as well as ample availability to meet individually with LLM students. How to Apply Applications will be done online via the Sciences Po Admissions website. Please visit our admission website to learn more about the admission online process. Candidates, no matter their academic background (studies abroad or in France), seeking admission to a dual degree do neither need to sit a written exam nor take an interview. Admission is granted only by virtue of the information given in the application form. To be eligible to take the New York Bar Exam, in general, candidates must have obtained a law degree requiring at least three years of study prior to admission to the program. See the page about the foreign legal education. Most Penn Law LLMs have obtained a law degree prior to matriculation in the Program. However, applicants without a prior law degree have been admitted to the Program where they can show sufficient knowledge and/or experience in a related field as well as demonstrate how the LLM Program will advance their career and/or scholarly work. Tuition and fees Students must pay the tuition fees applicable in their host institution (Sciences Po for Year 1 and Penn Law for Year 2). Financial aid Dual degree students are eligible to the same financial aid as other students in the institution where they are enrolled (at Sciences Po for Year 1 and at Penn Law for Year 2). However, financial aid at Sciences Po and Penn Law is limited and will not cover the total cost of the dual degree program. Students are therefore strongly encouraged to also look for external grants and fellowships. Year 1: Financial aid at Sciences Po Sciences Po offers a wide range of merit-based and need-based scholarships to French, EU and international students. Year 2: Financial aid at Penn Law Penn Law has a limited amount of funding available for dual degree students. Students should consider every option available in order to fully budget for their studies at Penn Law, including taking out private loans as well as government-sponsored ones. Important information about student loans In order to apply for student loans, students have a variety of options: French citizens are eligible for French-based loans; US citizens may take out American federal loans from either Penn Law or Sciences Po but not both. Under no circumstances may the student take out loans on behalf of both institutions. This is a dual degree with the University of Pennsylvania Law School. [-]

Master in Economics and Finance (MEF)

University of Milan - Department of Economics, Management and Quantitative Methods
Campus Full time October 2017 Italy Milan

Economics and Finance is an exclusive master programme aimed at providing an excellent academic background and a practical sense of today's financial markets and international economy. [+]

Masters Degrees in Finance in Milan Italy. Course Objectives and Structure Economics and Finance is an exclusive master programme aimed at providing an excellent academic background and a practical sense of today's financial markets and international economy. The Master degree in Economics and Finance is a genuinely multidisciplinary programme, offering a well-balanced set of courses in economics and finance supported by several quantitative courses. Graduates of this master course will receive advanced training on quantitative methodologies and tools suitable to interpret and analyze the economic and financial phenomena and to operate directly on financial markets or in international economic institutions. The study program is designed to provide the students with solid background through the development of topics of economic theory, analysis of international financial markets and the theory of decision making under uncertainty. It includes study of financial markets from both the point of view of international law, history and economics. The first year establishes the capabilities in statistics, mathematics and computational techniques necessary for the analysis of financial data and economic time series. The second year of the master program is organized in two curricula. The first, Financial Economics, is dedicated to the training of economists capable of operating at international institutions or central government level in both the financial and economic sphere. The second curriculum, named Quantitative Finance, is aimed at preparing financial specialists capable of operating in the areas of pricing of derivatives, portfolio management, risk management and control in the financial sector. Entry Requirements The successful candidate of the Master program in Economics and Finance should have adequate knowledge of mathematics, microeconomics, macroeconomics, econometrics and statistics at undergraduate level. Applicants have to submit their curriculum vitae, the transcript of exams and academic career, a motivation letter. Candidates can optionally ask their advisors to provide a presentation letter. Applicants satisfying the entry requirements will be asked for a telematic interview aimed at substantive verification of their background, their motivations and their fluency in English. Career Prospects The master course in Economics and Finance aims at forming the following professional profiles. "Analyst and financial adviser": the professionals included in this category make suggestions for investment and give technical advice to managers on which they depend functionally; assist the management of financial investments through the economic and financial analysis of market data; propose predictive models of economics, financial times series and provide guidance for the calibration of theoretical models using market data. They operate in the office of financial management of banks, investment firms, investment funds, banks, financial intermediaries, research and financial statement purposes. They also work as private consultants. "Operator of financial markets and financial intermediary": the figures included in this category act directly or on behalf of their company in the financial markets or as brokerage agents, also assist the company in the interaction with the regulatory authorities in the markets thanks to a thorough knowledge of the rules that govern them. They operate in the office of financial management of banks, investment firms, investment funds, banks, financial intermediaries, research and financial statement purposes. "Manager or Director of the departments of finance, financial institutions or international economic institutions". The occupations included in this category exercise managerial functions of high responsibility in private and public companies with an international vocation, in finance, risk management and credit. Skills: baggage of theoretical knowledge of economic-legal type for the management of economic institutions and private companies or in banking and financial institutions operating in international contexts. They operate private or public companies in industry and services to businesses, banks and similar institutions, and international and governmental institutions. "Professionals in the management of programs and projects of international development": the occupations included in this category contribute to the formulation, management, monitoring, reporting of programs and projects of business development and market expansion within the international arena. They operate private or public companies of industry, trade, business services, banks and similar institutions, and international and governmental institutions. Study Plan Courses common to both curricula: I YEAR Advanced Macroeconomics Advanced Microeconomics Data Mining and Computational Statistics Financial Investments International Economic Law Mathematical Methods and Modeling Risk Assessment and Management Time Series Analysis II YEAR Decision Theory and Behavioural Economics Financial Markets and Financial Crises: A Historical Approach Total number of common CFU : 66 Curriculum: Financial Economics II YEAR Asset pricing Financial Contracts Money and Finance Curriculum: Quantitative Finance II YEAR Numerical and Statistical Methods for Finance Portfolio Optimization Risk Theory Total number of CFU at the end of each curriculum: 84 Students must earn 12 CFU for elective activities. and 3 CFU by selecting an Internship/Stage. The preparation of the finanl disseration consists of 21 CFU which completes the 180 CFU. [-]

Master in Financial Regulation and Risk Management

Sciences Po
Campus Full time

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. Objectives The program focuses on the fundamentals of finance and, in particular, provides students with critical knowledge regarding corporate finance, regulation and risk management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Financial Regulation and Risk Management will: - Foster their analytical capacity through a multidisciplinary approach - Prepare students for a wide range of professional exams, including those for Chartered Financial Analyst, Financial Risk Manager, French, British and US regulatory and compliance certificates - Develop their corporate and market finance skills - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of regulation, compliance, corporate finance and asset management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size of the class (the program enrolls 25 to 30 students a year). Students also have access to the full curriculum of SciencesPo’s Department of Economics in business, management, finance and economics as well as SciencesPo’s graduate “common core curriculum” in the humanities. They may choose from a wide range of courses and workshops offered in English and French, according to their individual academic and professional needs and interests. Faculty The Master calls upon SciencesPo’s world-class faculty and its unparalleled network of experts. The program also mobilizes the SciencesPo alumni community, whose members are committed to mentoring and guiding students in their projects and career development as well as to teaching “master classes”. Core courses are taught by both members of its permanent faculty and by adjunct professors who are leading industry specialists from SciencesPo’s corporate partners. The program draws upon the deep knowledge and expertise of SciencesPo’s Department of Economics and notably its cuttingedge research activities supported by the Banque de France Chair in Banking Regulation. Structure and Curriculum Taught entirely in English with optional courses taught in English and French, the program includes: A one-week orientation period in August in order to refresh fundamentals of quantitative skills The Fall Semester made up of seven core courses and two electives A one-week training session in January that focuses on interview skills in order to prepare for the labor market The Spring semester made up of seven core courses and two electives The final Summer semester made up of six advanced courses and which is dedicated to developing practical leadership and management/professional skills. In addition to these courses, students may choose to enroll in a language course. Non-French speakers are particularly encouraged to enroll in French language classes. The overall required number of credits is 100 ECTS, the equivalent of about 25 courses, which makes the curriculum one of the most demanding specialized master programs. Admissions The candidates must hold at least a bachelor degree with either 3-year work experience or a Master Year 1 under validation and, ideally, internship experience. They must demonstrate proficiency in English. [-]

Finance, Risk And Control (ms Frc)

Audencia Business School
Campus Full time 12 - 15 

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

Masters Degrees in Finance in Milan Italy. 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 [-]

Master in Economics, Finance and International Integration

University of Pavia
Campus Full time October 2017 Italy Pavia

The <strong>Master Program (Laurea Magistralis) in Economics, Finance and International Integration (MEFI)</strong> is a post-graduate course open to Italian and foreign students aiming to pursue advanced studies in the field of applied economics and finance in an international perspective. [+]

The Master Program (Laurea Magistralis) in Economics, Finance and International Integration (MEFI) is a post-graduate course open to Italian and foreign students aiming to pursue advanced studies in the field of applied economics and finance in an international perspective. MEFI trains students longing to start high level careers as professionals or managers in national and multinational firms and within the Public Administration. Starting from the academic year 2013-2014 this Master Program will be entirely taught in English, fulfilling the internalization aims of our Department. The Department is already involved in many international mobility programs for graduate students. Moreover a few double degree programs in Economics have been already agreed and are being carried out with some major European Universities. The decision to teach all MEFI courses in English is then just a further path in our internalization strategy. Though students attending MEFi will get the same degree, they may choose from the start between three different specializations: Finance; Industrial Organization and Market Strategies; International Economic Integration. Such a variety of academic options is consistent with the existence in our Department of different groups of researchers sharing common scientific interests, publishing extensively on these topics and occasionally working as consultants for private and public institutions. The Finance curriculum has been developed by a group of mathematicians, statisticians and econometricians who have long since concentrated their research work on financial markets. They also cooperate with colleagues involved in macroeconomics and corporate finance. The Industrial Organization and Market Strategies curriculum is based as well on a group of professors and researchers long since involved in research work about theoretical and empirical industrial organization, regulatory economics and competition policy. A third curriculum concerning International Economic Integration is also available, as the University of Pavia is a leading academic institution for post-graduate education in the field of international cooperation and economic development. MEFI is expected to be completed in two years and is divided into 4 semesters. Teaching time is mostly devoted to advanced courses of economics with an applied perspective. In the case of the Industrial Organization option the focus is on the applications of game theory and econometrics to regulated and unregulated markets, and on the microeconomics of the firm. The Finance option includes courses of mathematics, statistics and econometrics with a common focus on financial markets issues. The International Integration option requires less training in mathematics and statistics, as more weight is given to political economy and international policy issues. Students interested in sustainable development, independently of their specialization, may always pick up environmental economics and energy economics as elective courses. Complementary courses in Law have also been introduced. They are differentiated according to each specialization and include financial markets regulation, European Community Law and Antitrust law. Management courses mainly concern multinational firms and the organization of information systems. Following the Italian multicultural tradition, students may be also required to attend one course in Economic History and/or one in Sociology. Most courses require students to undertake individual short projects or produce short essays to be discussed during the class and that may contribute to their assessment together with traditional exams. Lastly students will have to write and defend a Master program dissertation that will contribute to their final grade. [-]

Advanced Master in Financial Markets

Solvay Brussels School of Economics and Management, Université Libre de Bruxelles
Campus Full time 1 - 1 

Advanced Master in Financial Markets offers an advanced education in finance and in financial markets that is complementary to the curriculum provided in classical graduate programs in finance or economics. [+]

This Advanced Master in Financial Markets offers an advanced education in finance and in financial markets that is complementary to the curriculum provided in classical graduate programs in finance or economics. The master therefore focuses on creating bridges between theory and practice and also the policy and strategic aspects of the current financial landscape. To do so, all courses are given by an exceptional cadre of faculty members - both practitioners and academics.

 

10 PARADIGMS

 

Finance had become much more complex and competitive. There is a massive regulation shift underway. You need a different set of skills to succeed. The best professionals will do even better, whereas the average will stagnate. Finance is increasingly multi-disciplinary. Regulators expect more from financial institutions. Society expects a more ethical financial system. Financial firms are revisiting their business models and the financial world is restructuring. A new relationship is being built between public and private financial flows. The centre of financial power is shifting gradually towards new economies. ... [-]

Advanced Master in Quantitative Finance

Solvay Brussels School of Economics and Management, Université Libre de Bruxelles
Campus Full time 1 - 1 

A highly challenging one-year programme designed to prepare you for a successful career as a financial professional. [+]

This Advanced Master in Quantitative Finance offers its prospective students an advanced education. Its curriculum consists of a combination of finance, statistics, econometrics, programming and mathematics. This master offers full coverage of financial disciplines such as asset and derivative pricing numerical methods and programming skills. It is oriented to an audience with a quantitative background either by recent education orby professional experience.

10 PARADIGMS

September 2008 was a turning point in the financial sector, driving it towards new horizons. A shift of paradigm and the emergence of new markets is leading to a radical change in the rules of the game. Complexity is reaching unprecedented levels. And competitiveness is increasing. In this context, financial decision making needs quantitative innovation. Classical modelling techniques are not top performers any longer. New quantitative techniques are needed. Models based on statistics and financial reality. Cutting edge models and methodologies. And last, the financial sector needs ... [-]

Master in Business Studies - Global Banking and Financial Markets

United International Business Schools
Campus Full time Part time 1 - 2 

The Master in Business Studies - Specialization in Global Banking and Financial Markets is taught entirely in English. Students are required to complete 27 courses for 54 credits .... [+]

Masters Degrees in Finance in Milan Italy. SPECIALIZATION COURSES IN GLOBAL BANKING Level 500 GSCGB501 Financial Markets and Banking Systems (2) GSCGB502 Investment Banking and Securities Markets (2) GSCGB503 Derivative Products (2) GSCGB504 Financial Risk Management (2) Comprehensive Cases in Global Banking (2) Research Project in Global Banking (2) Level 600 Thesis in Global Banking (8) Capstone Project in Global Banking (4) (for Dual Master students only) Admission requirements proficiency in the English language (refer to the admission section for further details) Bachelor degree (or equivalent) No distinction is made between academic or professional Bachelor degrees. Degrees with 180 European credits or 120 American semester credits are considered equivalent. Students who do not hold a business-related Bachelor degree or equivalent may be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in leveling courses from the Pre-Master program in order to be fully prepared for our graduate programs. Students who do not hold a Bachelor degree or equivalent should apply for a Bachelor degree program, or for the Undergraduate Diploma top-up program. Refer to the undergraduate admissions catalog for further details. Students who have 15 or more years of relevant work experience may apply directly for the Pre-Master program and will be required to complete an inbound assessment test prior to starting the graduate program, and, depending on the results, earn an additional number of credits in specific undergraduate courses. e.g. Students who wish to earn a Master degree and who are required to complete the full Pre-Master program will need to earn 30 + 60 credits. CAREER PERSPECTIVES Our study programs and courses are career-oriented in nature and provide students with a high level of flexibility throughout their graduate studies. Focusing on a broad range of specialized subject matters, students are equipped with the necessary skills and knowledge to be successful in today’s global economy, and are prepared for a wide variety of professional development and career opportunities. Graduate programs are an excellent choice for recent college and university graduates who would like to see their employability in today's job market increase by engaging in rigorous and academically challenging graduate studies to obtain a relevant academic qualification in the field of business and management. Upon graduation, students mainly start or advance their careers with mid to upper-level management positions in national and multinational companies and organizations in various economic sectors. Others decide to launch a new business venture or join an existing family business. Students can also choose to continue their studies without interruption in almost any of our other graduate and postgraduate programs to further enhance their career prospects. [-]

Master in Corporate Finance (MCF)

SDA Bocconi School of Management
Campus Full time 12  September 2017 Italy Milan

The Master in Corporate Finance (MCF) is an intense and stimulating one-year program in English, designed to provide students with the knowledge and skills necessary to drive innovation and master different international finance management techniques and tools, whether you work for a company or an institution. Choosing MCF means investing in your personal and professional development, with a view to taking your career to the next level. [+]

The Master in Corporate Finance (MCF) is an intense and stimulating one-year program in English, designed to provide students with the knowledge and skills necessary to drive innovation and master different international finance management techniques and tools, whether you work for a company or an institution. Choosing MCF means investing in your personal and professional development, with a view to taking your career to the next level. MCF is the Master for you if You want to offer high quality solutions to financial problems. You want to be provided with the most advanced techniques of Financial Management. You are looking for a blend of leadership and respect for others, ethics and appreciation of diversity. You want an internationally recognized qualification. You want to operate in complex scenarios with unique tools and capabilities. What MCF can offer you A Specialized Master 100% finance-focused, to form professional graduates Practical and applied financial knowledge and technical skills Ability to directly tackle financial tasks without any additional training B-School intense teaching methods (business cases, business games, professional faculty, simulation, software) Specialized technical preparation by a faculty that has strong links with the financial community “Learning and practicing Finance means being at the center of the stage in the economic world. The most motivated and ambitious people do it and they are rewarded with professional and personal satisfactions and monetary outcomes. So, do you want to be at the center of the stage with us?” Alberto Dell'Acqua | MCF Director [-]

Fashion Corporate Finance and Management Control for the Fashion & Luxury Business

Istituto Marangoni
Campus Full time October 2017 Italy Milan

Aimed at executive candidates who may have a bachelor’s degree in business administration in marketing management, economics, fashion or a similar alternative with proven work experience. [+]

Masters Degrees in Finance in Milan Italy. Master in Corporate Finance and Management Control for the Fashion & Luxury Business the course Aimed at executive candidates who may have a bachelor’s degree in business administration in marketing management, economics, fashion or a similar alternative with proven work experience. This University Master’s Degree is designed to train corporate finance managers and controllers specialising in the luxury sector, the figure who sits on the board of directors and supports companies in their internationalization processes, partnerships and stock exchange listing. Professionals in this field are able to develop appropriate strategic plans and assess economic and financial sustainability, addressing the development of systems of performance management. The participants will begin their journey with the study of international accounting standards and the U.S. GAAP and will arrive at an understand- ing of the most current techniques for the assessment of financial performance, tax and legal planning. Theoretical approaches will be applied to case studies and examples from active companies operating in the luxury sector, in order to grasp the essentials of management and planning. Participants will be required to study the history and sociology of fashion, highlighting how changes in contemporary societies have transformed the nature of the companies in fashion and luxury, from small family businesses to multinationals listed on stock exchanges around the world. The nature of the sector is explored through looking at dynamics such as the speed of the life cycle of a fashion product, the desire for ‘identification’ and communication, social con- sumption, mass elitism; variables that must be known in detail and evaluated in financial planning in fashion and luxury companies. The course also includes a module on the discussion of the governance of corporations. In the final stage of the course, the experience gained from the analysis of case studies and research methodologies acquired will allow participants to develop a project for the preparation of their theses. A part-time course (1 week per month for 40 hours of classroom training for the 8-month course), suitable for experienced professionals who are already working at a recognised professional level and have little time to continue their studies. opportunities A specialist in accounting, auditing, in finance, in tax planning and financial planning, the finance manager and controller of fashion and luxury has a grasp of everything from marketing to fashion. Understanding the techniques of analysing the profitability of a business, points of sale and business management in the world of luxury, these managers can design strategies for sustainable development, strategies that will appeal both economically and financially to big investors in the sector, while at the same time remaining ‘creative’ executives who know the world of luxury and its singularities. The professional growth of graduates in the course can take place in the company where they currently operate, where their newly-acquired skills in the world of corporate finance will come in very useful, or in start-up companies or companies in luxury fashion that contribute important innovations to the field. learning outcomes develop financial plans that can increase shareholder value; integrate the language of the chief financial officers and finance directors of the brand with the developer; develop appropriate systems of performance management and cash management; manage relationships and dialogue with the world of banking and institutional investors; understand the macroeconomic environment of the luxury industry by analysing the dynamics in different industrial sectors; evaluate the power of luxury brands through social, cultural and semiotic values; analyse the relationship between the history of fashion and sociological theories interpreting them as a global phenomenon. course themes enterprise performance management and budgeting consolidated financial statement corporate finance and governance managing of luxury contemporary issues in fashion design creativity and innovation dissertation *The master’s in Fashion Corporate Finance & Management Control for the Fashion & Luxury Business is held in collaboration with the Università Carlo Cattaneo LIUC of Castellanza (Varese) where the University Master’s Degree is awarded. [-]