Masters In Banking And Finance – The International Francophone Institute, Vietnam National University, Hanoi () is currently recruiting applicants for the International Master’s Program in Banking, Finance and Financial Technology (FINTECH) taught in English. The diploma is issued by EM Normandie Business School (EM Normandie, France).
The program provides students with: (1) in-depth knowledge of banking and finance; (2) skills in using Fintech tools in the banking and finance sector; and (3) knowledge, skills and entrepreneurship. The objective of the program is to train high quality human resources in the field of banking, finance, Fintech and related fields in the era of Industrial Revolution 4.0.
Masters In Banking And Finance
75 credit points according to European ECTS with 16 knowledge blocks. The program topics belong to the following knowledge sets:
Banking & Finance
The program is taught concurrently at EM Normandie’s Oxford campus in the UK. The opening ceremony of the 1st lecture took place on March 26, 2021.
FinTech uses technology to meet the needs of customers working in finance and banking. The industry aims to make optimal use of technology so that it can provide better services than traditional banking approaches. FinTech careers range from starting a company to many other jobs such as:
Presidential scholarship for international students (2 scholarships: 100% tuition fee waiver, housing support in VNU dormitory, for students from foreign policy priority countries)
Msc Banking And International Finance
Free housing support for international students (in VNU dormitory, open to all international students, duration is based on actual study time in Vietnam) The first phase of the program is for in the main courses; it aims to provide students with the basic tools, knowledge and understanding of financial issues
Students choose a specialization that aims to train them for specific careers in finance. These faculty-led options are highly hands-on with courses and conferences designed to train practicing professionals while making the connection between theory and academic knowledge.
The world-class faculty consists of professors from the University of Paris Dauphine, ESCP Europe and European academic partners who maintain strong ties to the financial sector through applied research and consulting. In addition, all courses are taught by highly ranked financial professionals who bring their practical knowledge into the classroom – helping to teach the latest management techniques available.
Banking And Finance Masters (msc) Degree Course
Participants are expected to be ambitious, intelligent, kind and dedicated to their profession. They must have a strong motivation for professional enrichment and career advancement in the financial fields….
“MEBF left me with solid financial expertise and experience according to international standards and an influential professional network, which allowed me to start a truly international career in finance”
“The two-week study trip to Paris was a truly extraordinary experience. It was a truly stimulating environment with lectures at ESCP Europe, data mining at Paris Dauphine University, workshops and expert discussions in senior international experts… Paris is a great place to visit, we have unforgettable memories.” This course is ideal if you want a career in the banking sector with roles in managing bank assets and risks in banking operations.
Executive Master Of Business Administration In Banking And Financial Institutions
You will learn how to analyze how financial institutions manage their assets, liabilities and overall liquidity and create value through diversification and innovation. You will gain a thorough understanding of the regulatory framework in which banks operate both in the UK and abroad.
The course was developed in consultation with experts from Barclays, RBS Capital Markets, Commerzbank AG, Standard Chartered Bank and NatWest Bank.
The business school has the prestigious international accreditation of AACSB (Association to Advance Collegiate Schools of Business) in recognition of the excellence of its business education. Achieved by only 5% of business schools in the world, this accreditation recognizes the high quality and standard of our business-level offerings.
What Can You Do With A Master Of Finance Degree?
On completion of the International Money and Finance (BA7020) module, you will gain exemptions from the Certificate in Treasury units: Unit 1: The Treasury Context; Unit 2: Money management and liquidity; and Unit 3: Corporate Finance. You will need to complete two more units to complete the CertT.
You will take part in an assessment center experience which will give you the opportunity to experience the journey to employment with tailored feedback to help you develop your work skills for the world of graduate recruitment.
This course is designed to demonstrate the connections between theory and practice. Teaching uses real-life examples and case studies, while assessments also expose you to real-life problems and solutions. Year 1 consists of seven core modules, one elective module and one research project. Year 2, the internship year, is optional and offers a full year of work experience.
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This module will be particularly useful for students interested in careers in the corporate or financial services sector, as well as those interested in working as financial advisors, consultants or analysts. It will teach you about a unique combination of the most important modern theoretical and empirical achievements in corporate finance and the analysis and valuation of companies from both accounting and financial perspectives. The Corporate Finance section will help you develop a critical knowledge and understanding of key theories and concepts in corporate finance. The aim is to develop your ability to apply this knowledge and understanding to real business cases. The Financial Statement Analysis section will develop your critical knowledge and understanding of accounting principles and enable you to analyze financial statements and reports using financial ratios and other metrics. You will examine a company’s profitability and financial stability and learn to critically evaluate a company’s reporting choices.
The Financial Modeling and Research Methods module is the core module for the postgraduate modular finance scheme. The module has two parts. The first part provides a foundation and understanding of numerical methods used in the business and financial world to assist in strategic decision making. Its purpose is to provide students with the accounting, mathematical and statistical foundation needed in the field of accounting and finance. Another part deals with understanding research methodology and the research methods and skills students will need to successfully complete a summer research project.
In this module you will gain a thorough understanding of modern portfolio theory and its implications for asset pricing, asset management and investment decisions related to risk management. Key topics include:
Masters In Banking In Uk
This module also discusses the different types of investment banks and the strategies they use. You will cover:
You will develop and manage investment portfolios for a specific period and present the results. You will use a dedicated Bloomberg trading room and software packages to build your hands-on experience with industry standard systems and use real live data.
This module covers the principles of general and strategic management and their relationship to banking and other financial institutions. You will develop your critical awareness of the evolving structure of the financial institutions sector and then analyze the balance sheets of financial institutions. The module covers operations in detail and looks at:
Ghent University: Master Of Science In Banking And Finance
The aim of the module is to develop a critical awareness of financial risk within financial institutions and in a wider context. It begins with an analysis of financial institutions, and then builds on that analysis to measure the key risks to which financial institutions are exposed. This includes a detailed analysis of credit, liquidity, interest rates and market risk. The module will discuss management issues including: the role of capital; liability and management of liquidity and product diversity. It will conclude with an analysis of banks’ use of financial markets in risk management. The course has a significant quantitative component, but at the same time provides the intuition needed to understand the underlying mathematics of financial risk management in banking. The module will provide candidates with the computing and research skills required by employers in this highly competitive sector.
This module examines the theoretical background of financial services regulation and puts this theory into context by examining the structure and practice of regulation. You will look at regulatory practice in many different financial services environments and use real-world cases to test theories and see them in action.
This module will help you gain a broad understanding of the nature of derivative securities and how they are used by banks and other financial institutions. In the beginning, you will learn about derivative securities; then you will look at the valuation methods available and the mathematics behind the valuation of derivatives. You will look at numerical schemes such as the Binomial Network for valuing derivatives and focus on market calibration of alternative derivative models and how these models can be fitted to observed derivative prices. The module concludes with an emphasis on risk management in terms of market and credit risk.
Master Of Banking And Finance
This module provides an intuitive analysis of the global financial management environment. It examines the role and function of global financial markets (FX, capital markets) and institutions, and examines the tools that corporate managers can use to assess and control risk in these markets. In addition, it provides students with an understanding of international economic connections, international financial systems and conditions of equality in international financial markets. More than the real world
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