Practically focused and internationally oriented, the Master of Science in Finance and Banking provides students with the ability to
apply complex financial, economic and investment theories to both corporations and the financial services industry. The course will provide you with
a wide-ranging theoretical background and equip the practical skills for active interaction in investment banks and securities firms, in finance departments
of industrial and service companies and in central banks.
The Master of Science in Finance and Banking benefits from the outstanding, hand-picked faculty of the UPF's world ranked Department
of Economics and Business, known for its scientific approach, its constant contribution to creating knowledge and its high-level ability to stimulate
and convey knowledge.
Who is it for?
The Master of Science in Finance and Banking is aimed at recent graduates and junior professionals with the following academic backgrounds:
- Business Administration
Applicants with a
different academic background
will be asked to provide proof of sufficient quantitative and analytical training by presenting a GMAT score of 600 or higher.