The M.Sc in Banking and Finance brings the most recent advancements in both the theoretical and empirical literature and is specifically designed to provide the necessary skills to understand the functioning of the banking and financial systems in the light of the continuous development of the international financial industry. It offers the necessary knowledge to undertake a career in the banking and finance sectors in the role of financial analysts, traders, portfolio and asset managers, commercial banking managers and financial advisors.
It is a highly professional Master as most of the teachers currently teach in prestigious universities such as the Imperial College and the Queen Mary University of London (UK) and it offers a solid background for those students that wish to continue their post-graduate studies in Italy and abroad. Students learn how to approach financial problems, test different financial theories, use software (mainly Stata and Matlab), carry out research and deal with large datasets.
The programme consists of four modules per semester, followed by a 10,000 word dissertation and an internship.
After completing the course, you will have the possibility to access the second year of the Master's Degree in Economics for Banking and Finance of the Department of Economics.
|Language||Knowledge of the English language at least at level B1 (Common European Framework of Reference of languages - CEFR)|
|Entry requirement||Students should hold a three-year undergraduate degree in any subject|