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Finance Management (Bachelor's & Master's ) | Study2Europe.com

Course Description

 

 

Graduates typically go on to work in investment banks, private equity firms, asset managers and non-financial institutions.
The curriculum puts a particular emphasis on corporate finance, financial engineering and risk management, quantitative asset management, macroeconomic analysis, quantitative trading, and financial regulation.
Helping students to find the right job after graduation is our commitment.
Through a mix of theory and practice, interaction with finance practitioners and empirical sessions in our info-providers lab facilities, our course has been designed as a smooth transition to the finance industry.
 

Courses:
• Advanced Financial Modeling
• Asset Allocation
• Corporate Valuation
• Credit Risk Modeling
• Econometrics
• Economics Of Sustainable Development
Career Prospects
Skills associated with the function:
• Analyst for risk and return factors of the different types of investments
• Market factors and regulatory constraints affecting trading and management strategies
 

Jobs:
• Proprietary portfolio manager
• Portfolio manager with third parties
• Trader in the financial markets
• Expert in Analysis, Control and financial risk management

Skills associated with the function:
Determinants of risk and profitability factors in the different market segments and regulatory constraints affecting portfolio and trading strategies Measurement and control of financial risks.
 

Professional opportunities:
• Risk manager
• Financial Consultant
• Market analyst
• Managers of financial intermediaries
• Managers in financial directorates of non-financial corporations
 

Duration (Bachelor's - 3 Years & Masters -1.5 to 2 years )
ELIGIBILITY: Minimum 60 % in Academic
FEES:

Minm Fee: 150 € /Year Maxm Fee : 3500 € / Year ( Fee Depends upon University and Country )

Enquire now