Students acquire specific knowledge and competences needed to pursue successful international
careers in finance, insurance or banking. Graduates are prepared to activate in financial institutions
and companies, being able to work at different levels in investment companies, corporations,
insurance companies, banks, fiscal administrations, brokerage companies etc. The curriculum is
continuously updated to encompass advances in informational technology, regulatory changes, and
the latest insights in financial markets.
By combining theoretical knowledge with practical proficiency in finance, our program aims to
develop students’ professional competencies, such as: financial modelling, data analysis, use of
financial tools and instruments to perform financial operations and transactions; preparing
investment projects, evaluating investment projects, drafting investment budgets; forecasting
incomes and expenses at corporative level; identifying and managing risks specific to financial,
banking and insurance activities; trading and managing mutual funds, private equity funds, hedge
funds, and derivative instruments.
To guarantee graduates’ insertion in the labor market, our program responds to the increasing
expectancies of financial, banking, and insurance activities, expectancies which are amplified by the
need to respect European organizing and functioning principles.