Informations détaillées
MSc Banking & International Finance
TBS Business Shool

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TBS Business Shool


MSc Banking & International Finance

Ce programme n'était pas classé dans cette spécialité l'an passé

  • Nouveau dans le classement
  • École
  • Formation initiale
  • Stage obligatoire
  • Durée de la formation : 12 mois
  • Durée de la formation : 18 mois
  • Condition d'admission : Bac+3
  • Condition d'admission : Bac+4
  • Condition d'admission : Bac+5
  • Accréditation Membre CGE
  • Accréditation EQUIS
  • Accréditation AACSB
  • Accréditation CGE

Informations détaillées : MSc Banking & International Finance

Conditions d'admission

Admissions

    • 4-year Bachelor’s Degree (240 ECTS) or equivalent
    • IELTS 6.5 or equivalent

Profils privilégiés

  • 3-year Bachelor Degree (180 ECTS) with > 2 years of relevant professional experience
    For holders of 3-year Bachelor’s Degrees (180 ECTS) or equivalent (contact us)

Sélection

Processus de sélection

Session de recrutement

Starting at october 2019 

Coût de la formation

  • Financement des études :

    http://www.tbs-education.fr/en/programs/master-science-programs/finance-your-education

Déroulement des enseignements

    Durée totale de la formation

    12 months

    Période de cours

    From September

Contenu pédagogique

Course units:

1. Advanced Corporate Finance
Objective: Provide students with the theoretical background to understand how to value assets and finance a firm under market imperfections.

2. Financial analysis, firm value and value creation
Objective: Provide students with the key competencies to conduct a financial analysis, value a company in different circumstances and measure the value created by managers.

3. Financial strategies for investing and financing
Objective: Be able to define, implement and finance a strategy for managing profitable growth.

4. Banking management and the Regulatory landscape
Objective: Students should be able to understand the Banks’ business models under international regulations, compliance requirements and in an ethical way.

5. Financial Markets
Objective: Students should be able to understand the use of financial markets for investing and financing decisions.

6. Financial risk management
Objective: Provide students with the knowledge and competencies to define and implement a relevant strategy to manage speculative risks.

7. International perspective in Banking and Finance
Objective: Provide students with the required knowledge to be able to anticipate the future changes in Banking and Finance industry.

8. Research methods in finance
Objective: Provide students with the set of tools to manage a research project in Finance.

Career agility
Objective: Reveal your talent and make evolutionary choices in accordance with your deep aspirations

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Research dissertation
Internship or Professional Project (4 to 6 months, in a company or financial institution, in France or abroad)

Débouchés

  • This Master of Science prepares you for the following job categories:

  • Coverage analyst
  • Asset Manager
  • Strategist/Economist
  • Cash Manager or Treasurer
  • Financial Risk Manager
  • Financial analyst
  • Compliance Manager
  • Business Analyst
  • M&A Analyst
  • Trader
  • Financial Advisor
  • Transactions Services
  • Financial Auditor
  • Structured and Project Finance

Salaires annuels à la sortie

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