Master in International Finance
Master
À Paris
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Description
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Typologie
Master 1 et 2 professionel
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Lieu
Paris
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Durée
Flexible
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Dates de début
Dates au choix
The Master offers to the students the opportuniy of personalize the course in funcion of our professional objetives. Today, new prudential rules have given a prominent place to risk control framework within financial institutions. Skills in terms of risk management are increasingly requested by financial institutions and open up many career opportunities, be they in the front, middle or back office. Because of that, the aim of this specialisation is to prepare future managers for careers in market finance and risk management in large financial institutions, as well as offers professional cerficitations, as : CFA (Chartered Financial Analyst), Professional Risk Managers (PRM) and AMF. As English is the working language of all financial institutions, all courses are entirely delivered in English. One of our objectives is to prepare students for career opportunities on financial markets abroad, especially in front office positions.
Précisions importantes
Modalité Formation continue
Orientation professionnelle
Les sites et dates disponibles
Lieu
Date de début
Date de début
À propos de cette formation
Bac+3, Bac+4
Les Avis
Les matières
- International Finance
- Master
- Marketing Management
- Financial Analysis
- Financial Law
- Mathematics for finance
- Excel
- Market risk Measurement
- Banking and financial regulation
- Credit Risk Measurement
Professeurs
Équipe d'enseignants
Directeur
Le programme
Le cursus initial classique
Le 1er semestre se déroule à Paris et est composé d’un tronc commun de matières enseignées principalement en français.-Semestre 7
- International Business Law
- International Economics
- International Trading
- Corporate Strategy
- Managerial Accounting
- Operation Management - Supply Chain
- Financial Management
- Marketing Management
- Organizational Behavior
- Human Resources Management
Programme spécifique
Master 1
-Semestre 8
- Financial Markets
- Portfolio Management
- Advanced Financial Analysis
- Banking and Financial Law
- Post Market & Securities Servicing
- Introduction to Risk Management
- Market risk Measurement
- Fundamentals of Mathematics for finance
- Bloomberg Workshop
- Information Systems: Excel level 3
- Master’s thesis methodology
Master 2
-Semestre 9 et 10
- Fixed income securities management
- Professional standards, compliance and internal control
- Banking and financial regulation, deontology
- Credit Risk Measurement
- Market Risk Measurement
- Operational and sustematic risk Measurement
- Mathematical tools for analysis
- Derivatives and commodities
- Collective fund management
- Corporate Governance
- Taxation
- Project Management
- VBA
- Certification AMF
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Master in International Finance