An understanding of the finance industry as a whole and how the different financial structures interact.
A focus on operational issues and new financial technology in France.
The behavioural elements that are incorporated at all levels, and finance's geopolitical dimension, unique to this sector.
The MSc in Finance and Risk Management trains specialists in the finance industry and financial geopolitics. Most Master’s in Finance courses offer either training in the financial markets or corporate finance. The MSc has been designed to fill a niche – in the finance industry – with an emphasis on operational and behavioural issues as well as the strategic location of financial vehicles.
The program also looks at the interaction between different financial institutions, with a focus on the emergence of Fintech, Cyber Finance and changes in decision-maker behaviour. Once they have completed the program, students will understand the different business models and be prepared for employment in a variety of financial sectors: banks, funds, hedge funds, insurance and the strategic consultancy sector.
The program is built around module blocks which are designed to produce experts in Finance and Risk Management with an emphasis on the finance sector and financial geopolitics.
MSc 1 :
Study/work rhythm: 3 days at school / 2 days at work - Berlin campus
NB. You can take this course from another campus with some adjustments
MSc 2 :
Study/work rhythm: 3 days of study / 2 days of work - Berlin campus
Découvrez les différentes procédures d’admission en fonction de votre profil