Upon completing Master of Science in International Finance, you’ll be equipped for management roles in various financial sectors, including banking, insurance, asset management, and corporate finance. The curriculum emphasizes financial management, corporate decision-making, capital markets, economics, and risk management, blending theory with practical application. You’ll engage in term papers, case studies, and a Master’s thesis, focusing on corporate governance and ethics. Additionally, you can customize your studies with electives on specialized topics like mergers and acquisitions or contemporary trends such as digitalization and sustainability in finance.
The program language is English.