The International Financial Analysis programme at Neoma Business School trains financial analysts on international finance who are able to function in unstable and complex environments
The techniques taught in the programme explain and clarify the reality of various businesses in order to establish a rigorous financial assessment framework and trace value creation for banks, investors, manufacturers and the company itself.
The pedagogy employs a comprehensive interactive blend of professors and professionals with permanent simulations and role-playing scenarios.
Lastly, because the corporate world must adapt to changes and risks, the programme includes extra-financial elements and soft skills that round out the financial analysis curriculum.
Aims
Key figures
There is a great deal of thematic overlapping between the curriculum and the major players in international finance, which guarantees you permanent employability with a recognised degree.
87%* of students found a job in less than 3 months
* Graduates 2020 survey
Targeted professions
Asset management and evaluation option
Become a certified financial analyst with a real ethical foundation, able to manage in an unstable and complex environment!
- Financial analysts (Sell-side, Buy-side, Corporate)
- Credit analysts
- Risk analysts (Risk controllers and managers)
- Fund analysts
- Asset managers
- International funding positions
- Forex, rates, treasury (specialists and traders)
- Private equity, M&A
- Audit-Consulting
- Financial engineers
Financial management and strategy option
Become a specialised corporate financial analyst who manages the balance between technical skills and soft skills!
- Financial and administrative director
- Treasury manager
- Management controller
- Import/export financing manager
- Merger/acquisition manager
- Financial reporting manager
- Project head
Close ties with the professional world
NEOMA Business School and the Advanced Masters International Financial Analysis maintain close ties with major financial institutions.
AMUNDI – AXA – AXELTIS – BBVA – BPCE – BNP PARIBAS – BOUYGUES CONSTRUCTION – CIC – CFAO – CGI FRANCE – CREDIT AGRICOLE – ECOLAB – EDF – EY – CANAL+ – GROUPAMA – GROHE – HSBC – KEPLER – LA FINANCIERE TIEPOLO – LYXOR – MANSARTIS – MOET HENNESSY – NATIXIS – EURONEXT – ODDO & CIE – PWC – ROTHSCHILD – SOCIETE GENERALE – SANOFI AVENTIS – SFR – STATE STREET – TELFRANCE – THALES – TOTAL – VEOLIA
Practical information
Format:
Full-Time - Asset management and evaluation option / Part-Time - Financial management and strategy option
Duration:
12 months
Campus:
Paris, Reims
Teaching language:
French
Course start date:
October 2022
Entry level:
From 3-Year Bachelor's degree to Master's degree (see Admissions tab)
Degree awarded:
RNCP Registered Level 7 Qualification and according to the chosen course Advanced Master (AM) accredited by the "Conférence des Grandes Ecoles" or Master of Science
Degree awarded:
RNCP (French Register of Professional Certifications) Registered Level 7 Qualification and according to the chosen course Advanced Master (AM) accredited by the "Conférence des Grandes Ecoles" or Master of Science / RNCP sheet No. 34299, International Financial Analyst