Training Objectives
The Professional Master's in Finance and Banking aims to train specialized professionals in financial management, banking, and markets.
Students gain mastery of corporate finance tools, financial institution management, financing, as well as banking regulation and monetary policy.
Students gain mastery of corporate finance tools, financial institution management, financing, as well as banking regulation and monetary policy.
Program Highlights
This program combines theoretical and practical instruction through:
- Specialized modules in banking management, financial analysis, international finance, risk management, and compliance,
- Practical case studies, portfolio management simulations, and credit analysis,
- The involvement of banking and financial sector professionals to bring the training closer to real-world practice.
The Master's program also places particular emphasis on financial innovation and the digitalization of the banking sector
Career Opportunities
Graduates will be able to join a variety of professional environments:
Financial and Insurance Institutions
Credit, Leasing, or Microfinance Companies
Corporate Finance Departments
Regulatory Authorities or Central Banks
Target Careers:
Account Manager or Credit Analyst
Portfolio Management
Financial or Banking Analyst
Compliance or Risk Manager
Corporate Treasurer
Investment or Financial Services Advisor
Plan d'etudes
| Semester 1 | Semester 2 |
|---|---|
| Data Analysis (1) | Data Analysis (2) |
| Direct Taxation | Strategic Management |
| Indirect Taxation | Organizational Management |
| Financial Theory | Governance and Case Studies |
| Treasury Management | Behavioral governance |
| Business English | Business English |
| Contemporary Economics | Business Creation |
| Simulation Techniques | Law of Obligations and Contracts |
| Banking Risk Management | Islamic Finance |
| Financial Engineering |
| Semestr 3 | Semestr 4 |
|---|---|
| Asset-Liability Management | End-of-Studies Thesis (Dissertation) |
| International Finance | |
| Financial Diagnosis | |
| Portfolio Theory | |
| Options and Futures Contracts | |
| Matlab | |
| STATA | |
| SPSS | |
| English for Finance Professionals | |
| Communication and Presentation Methods |
