Master in Finance
Master oficial
En Barcelona
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Descripción
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Tipología
Master oficial
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Modalidad horaria
Full time
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Idiomas
Inglés
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Lugar
Barcelona
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Duración
10 Meses
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Créditos
60
EAE Business School Barcelona enables you to specialize in finance and applied technology so that you can rise to the biggest challenge in the sector: the effective and innovative financial management of global digital companies.
Such a huge challenge involves acquiring fundamental knowledge at different levels of the business, from the most operational aspects right up to the purest management level, including a command of the essential disruptive technologies for driving forward the Fintech areas in companies.
The program focuses on financial analysis, financing decisions, financial difficulties and the restructuring process, and the Fintech ecosystem (Wealth Tech, Insurtech, Blockchain, etc.), as well as new forms of investment and alternative financing, new payment methods and cryptocurrencies.
Moreover, the Master in Finance & Fintech is designed to develop your analytical and critical capacity to make strategic decisions, not only to survive as a company but to thrive in this changing and complex Fintech ecosystem.
Instalaciones y fechas
Ubicación
Inicio
Inicio
A tener en cuenta
1. Disruptive finance: You will discover alternative financing source that enable you to develop new projects and keep up with the latest forms of borrowing and crowdfunding.
2. Fintech track: You will learn about digital financial tools and how new technologies create associations between traditional operators and the new fintech companies.
3. Decision-making: You will learn to spot new opportunities within the fintech ecosystem in order to improve decision-making and optimize the performance of companies.
EAE Business School’s Specific Master’s Degree in Continuous Learning in Finance, which additionally adds a Certificate in Fintech (10 ECTS) and Universitat de Lleida's (UdL) Official Master’s Degree in Financial Management.
Opiniones
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Este centro lleva 24 años en Emagister.
Materias
- Financial strategy
- Corporate finance
- Risk Management
- Planning
- Control
Profesores
Dorina Popescu Nicoara
Directora del Master in Management (MIM)
Doctora en Economía y Empresa por la Universidad Rovira i Virgili, acreditada por ANECA. Cuenta con más de 10 años de experiencia en el campo académico; habiendo impartido docencia en programas de grado y máster en diferentes Universidades.
Temario
MODULE 1 - FINANCIAL STRATEGY
Corporate Strategy and Sustainability
- Corporate and business strategy
- International strategy
- Economic and financial environment
- Taxation and legal context
- Sustainable investment and socially responsible investment
- Traditional business models versus innovative business models
Financial engineering
- Structuring-modeling techniques for financial engineering
- Quantitative financial analysis
- Cost of money and interest rate (Compound and discount)
- Binomial and Black-Scholes models
- Mathematical and quantifying Finance
MODULE 2 - PLANNING AND CONTROL
Financial planning and cash management
- Budget process
- Operational, capital, and teacher budgets
- Financial modelling techniques
- Management of the treasury
- Cash pooling and internal banking
Management control
- Cost accounting and management accounting
- Activity-based cost system
- Relevant and irrelevant costs for decision-making
- Measurement of results
- Balanced Scorecard (Financial Perspective)
- Dashboard (KPIs)
MODULE 3 - CORPORATE FINANCE
Financial analysis and business valuation
- Main financial statements
- Reformulation and analysis of the profit and loss account
- Analysis of the balance sheet
- Working capital management
- Ratio Analysis and Financial Diagnosis
- Cost of capital and value creation
- Valuation of companies
Corporate finance
- The restructuring processes
- Mergers and acquisitions
- Audit of purchases (Due Diligence)
- Legal and fiscal aspects in the restructuring process
- Internal and external financing
- Venture capital and alternative financing
MODULE 4 - RISK MANAGEMENT
Markets and financial tools
- Primary versus secondary market: initial public offering
- Macroeconomic factors and actors in financial markets
- Interbank market
- Digital financial services
- Fixed and variable income assets
- Optimization of short-term assets
- Factoring and confirming
Risk analysis and portfolio management
- Investment valuation and sustainable investment criteria
- Automated asset management
- Operational, market, and country risk
- Financial and operational risk models
- Variance and covariance (Standard deviation)
- Modern portfolio theory
- Risk-adjusted profitability measures
- Investment funds
MASTER'S THESIS
It’s not just the research paper you need to do in order to get your master’s degree — it’s the right time and the right place for you to combine your academic experience with your professional ambition, personal vision and your creativity. It’s your chance to put everything you’ve been learning into practice and to work in order to get to where you want to be.
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Master in Finance
