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.
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.
Masters Degree in Finance in Russia
Prepares you for careers such as Financial Analyst, Business Controller, Chief Financial Officer (CFO) & Investment Banker. [+]
Combines a rigorous, research-based curriculum with extensive real world applications and operational skill building. [+]
The program is oriented on the international educational trends in the field of financial management and aimed to provide the student with a wide range of competences in finance relevant to an international context. [+]
The program is suitable for students with different background knowledge, including those with industry experience and those have not studied economics, finance or accountancy at bachelors level. This program is designed to produce highly skilled, analytically minded and forward-thinking graduates who are ready to slot into a specialized role. [+]
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 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. [+]
A unique blend of theory- and practice-based courses in micro- and macroeconomics, econometrics, and corporate finance [+]
Both academically rigorous and applied, this programme prepares students for successful careers as professional economists. Students take theory-based courses in micro- and macroeconomics, econometrics, asset pricing, and corporate finance, as well as applied courses in different fields of economics and finance.
Graduates receive a degree from HSE and an official letter of validation from LSE certifying that the completed programme meets international standards. They go onto careers working for top international financial institutions, technology companies, and consulting firms, or enter doctoral programmes in economics or finance at the world’s best universities.Curriculum First year: Microeconomics, Macroeconomics, Econometrics I & II, Financial Economics I (Asset Pricing), Research Seminar | Mathematics for Economists and Finance, Russian Economy and Financial System, Research Seminar Second year: Econometrics III, Fixed Income Analysis and Derivatives, Financial Economics II (Corporate Finance), Risk Management*, Advanced Topics in Finance, Industrial Organisation, Research Seminar | Investment Analysis*, Strategic Financial Management*, International Trade and Development*, International Financial Management*, Advanced Topics in Finance, Topics in Applied Finance, Research Seminar, MSc Dissertation *Optional courses: students must take a minimum of four to graduate Partner Universities The London School of Economics and Political Science (LSE) The Tilburg School of Economics and Management Career opportunities ... [-]
Main objective of the program is to train high qualified professionals in accounting, financial analysis and auditing, experts, with fundamental economic knowledge, able to analyze, research and teach in these areas, effective in financial, tax and auditing services both in Russian and foreign companies, capable to make a career. Working language: Russian [+]
Master in Corporate Finance postgraduate course is designed to train specialists familiar with contemporary theory and practice in the field of corporate finance and capable of using this knowledge in the financial activity of corporate, state and public or insurance institutions with making the best choices of the investment and financing ways... [+]
Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions... [+]
The mission of the New Economic School (NES) is to benefit Russia’s private and public sectors through excellence in economics education and research. [+]
Financial Management program is a master degree profile combining study of theoretical bases of corporate finance and financial management with simultaneous development of applied financial disciplines. [+]
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. ... [-]
Master’s Degree Programme in Financial Management The Master’s degree programme in Financial Management aims to train a new generation of managers to be capable of working out high-quality solutions, conducting analytical investigations and modelling alternatives in the globalization context. [+]
Goal: to train top financial managers, investment and finance analysts, financial engineers, actuaries, assets managers, and risk managers to work in specific areas of financial management.Objectives: To teach how to formulate accounting policies and analyze financial reports using IRFS To develop skills of financial forecasting, planning and modelling To study risk management methods with the use of hedging instruments To make financial diagnostics and formulate financial strategies Manage company capital on the basis of an optimal policy of profit capitalization Distinct professional orientation Practical orientation of the courses Coaching and Individual Consulting Certification of Financial and Investment Analysts in Russian and English: ... [-]
The objective of the master's degree program «Financial Management» is an executive training of professionals in treasury management, who possess fundamental expertise [+]
The objective of the master's degree program «Financial Management» is an executive training of professionals in treasury management, who possess fundamental expertise as well as analytical leadership qualities in financial management.
Students who have successfully accomplished the master's program are able to carry out strategic planning and treasury management, to organize current work of financial units, to prepare and analyse different types of financial statements, to manage money flows, to assess company's risks and to make decisions associated with investing and exploiting own and borrowed purse strings.... [-]