WHY THE MASTER IN FINANCIAL MANAGEMENT, MAJOR IN CORPORATE FINANCE?
Today the management of financial resources and the relationships with financial markets and investors are critical objectives for firms, financial institutions and other organizations. The strategic role of Corporate Finance has become increasingly important due to the greater attention that managers dedicate to raising capital, financial planning, risk management and investment activities. The current financial environment requires new skills and competences to keep up with the demands for successful professionals in these times of rapid change.
This program prepares you to deal with increasingly complex financial challenges, providing solid technical knowledge and skills, as well as the transversal competencies required to manage complex financial situations in an international environment. You will acquire a thorough knowledge of the conceptual and empirical tools to respond to emerging financial challenges and create new opportunities.
Learning methods and key courses
- Top managerial education
- Combination of lectures and labs
- Field project
- Analysis of Accounting and Financial Data to Support Investment Decisions
- Analysis of Complex Financial Operations
- Financial Planning
- Risk Management
- Valuation of Firms and Projects Techniques
The Master is aimed at recent graduates with a BA or a MS in Economics or other scientific disciplines. Students who are finishing their degree are also invited to apply. Fluent English and personal motivation are required.
- International class
- International faculty
- Lessons in foreign language 100%