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Masters Degrees in Finance, Belgium

We have 6 Masters Degrees in Finance, Belgium

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Programme overview. The Advanced Master in Quantitative Finance offers prospective students a rich curriculum combining finance, statistics, econometrics, programming and mathematics. Read more

Programme overview

The Advanced Master in Quantitative Finance offers prospective students a rich curriculum combining finance, statistics, econometrics, programming and mathematics. This Master guarantees a full coverage of financial disciplines, such as asset and derivative pricing, numerical methods and programming skills. This advanced course work is designed for students with a quantitative background, obtained either from recent education or through professional experience.

Programme objectives

The main objective of this master is to train a new generation of quants. You will gain cutting-edge knowledge in quantitative finance and will learn how to apply it to real-life problems.

You will not only be exposed to up-to-date models, but you will also understand their advantages and limitations, both in theory and in practice.

By the end of the year, you will be able to:

• Become an analyst and/or manager in a quant group

• Price equities and bonds

• Construct and programme structured products

• Perform tail-risk analysis

• Extract information from massive databases

• Understand and trade in complex derivative products such as volatility derivatives

Job opportunities

The obvious companies for such profiles are large financial institutions, private banking, and hedge funds, seeking to fulfil positions like quant team member, risk manager, quant analyst/risk modeller, asset liability manager, derivatives specialist, financial supervisor and product structure.

Geographically, job opportunities are not only concentrated to Europe, in particular London, Paris, Amsterdam, Frankfurt, and Zurich, but are extended to the rest of the world (e.g. Singapore, Hong Kong and New York).

However, to successfully grow in your professional life and make the right choices for your career, it is fundamental to define your goals and have the tools to achieve them. The Solvay Brussels School’s career service will help you in building your career thanks to its strong connection with the business sector and to its dynamic team who will accompany each participant into the professional world. From self-assessment to networking opportunities, our team will assist participants to realise their full potential. Through a full range of seminars, coaching sessions, workshops, events and other resources, we help our participants to discover the career path best suited to their personal fulfilment.

Interested? Visit http://am.solvay.edu/quantitative-finance/

Application Deadline

> Non-EU students: May 31st 2018 (recommendation related to visa procedures)

> EU students: July 15th 2018



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What is the 'Master of Financial and Actuarial Engineering' all about?. The Master of Financial and Actuarial Engineering programme provides students with up-to-date, sound and advanced financial, actuarial and statistical skills. Read more

What is the 'Master of Financial and Actuarial Engineering' all about?

The Master of Financial and Actuarial Engineering programme provides students with up-to-date, sound and advanced financial, actuarial and statistical skills. It is an intensive, advanced, one-year programme for university graduates interested in a career in risk management, financial and/or actuarial engineering within financial institutions. The discipline focuses on the application of quantitative methods to problems involving risk or uncertainty. You will gain an understanding of current and future problems and solutions in insurance and banking and be equipped with fundamental and conceptual knowledge of the mathematical and economic aspects of financial theory and insurance techniques.

The programme provides advanced insights into the actuarial aspects of life insurance, general insurance and risk theory as well as financial mathematics and the inter-relationship and integration of actuarial sciences and finance. The programme draws on over sixty years of experience and international recognition. The research team for risk theory, finance and statistics has a strong research profile and is ranked among the world top in terms of actuarial research productivity. The programme is jointly offered by the Faculty of Business and Economics and the Faculty of Science at KU Leuven, in collaboration with Université Catholique de Louvain.

Objectives

The main goal of the programme is to provide the students with an sound knowledge of finance and actuarial science. They develop the capabilities to understand current and future problems and solutions in the actuarial and financial context. They will be equipped with fundamental and conceptual knowledge of the mathematical and economic aspects of financial theory and insurance techniques. Graduates holding both the degree of Master of Financial and Actuarial Engineering and 'Master in de verzekeringen' (Dutch-language initial master at KU Leuven) are eligible for membership in the professional body of actuaries in Belgium (IA|BE), and the international actuarial professional body (IAA).

At the end of the programme students will:

  • be equipped with fundamental and conceptual knowledge of the mathematical and economic aspects of financial theory and insurance techniques;
  • have advanced insights in the actuarial aspects of life insurance, general insurance, risk theory as well as in the interrelationship and integration of actuarial sciences and financial mathematics;
  • have a strong background in quantitative methods and financial models and will be able to select and apply those methods to problems that involve risk or uncertainty;
  • dispose of enhanced analytical, critical, conceptual, problem solving and decision making capabilities and skills;
  • have the ability to integrate actuarial, statistical and financial modelling techniques in order to arrive at effective solutions to problems occurring in insurance and financial practice;
  • be able to conduct research, not only in an academic context, but also in view of a professional career;
  • be able to stay up-to-date with the advances in actuarial sciences by following up and familiarizing with new insights, developments, results and methods;
  • be able to communicate and report adequately on financial and actuarial topics.

Career perspectives

The programme addresses the rapidly-changing needs resulting from the accelerating globalisation of the banking and insurance sector. As such, it provides a sound basis for a career in various areas of risk management, financial and actuarial engineering and insurance. Most graduates find employment in insurance companies, whose financial stability depends on actuarial calculations (e.g. premiums, provisions, capital requirements, reinsurance policy).

As an expert in the field of risk and uncertainty, you can also play an important role in banking and finance. The increasing convergence between the insurance and financial markets as well as the use of mathematically based instruments, such as options and futures, offers excellent career prospects. Graduates are well placed to find employment in banks, pension funds, reinsurance companies, consulting and audit companies.

Some graduates go to work in government, for instance in social security or economic affairs departments. Graduates holding both the degree of Master of Financial and Actuarial Engineering and 'Master in de verzekeringen' (Dutch-language initial Master's programme at KU Leuven) are eligible for membership in the professional body of actuaries in Belgium (IA|BE).



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Programme overview. The Advanced Master in Financial Markets offers a complementary education in finance and financial markets to the curricula of classic graduate programmes in finance or economics. Read more

Programme overview

The Advanced Master in Financial Markets offers a complementary education in finance and financial markets to the curricula of classic graduate programmes in finance or economics. It focuses on creating bridges between theory and practice, as well as on the policy and strategic aspects of the current financial context.

Programme objectives

The Advanced Master in Financial Markets is designed to give students a much deeper understanding of financial markets than the one offered by graduate or classic post-graduate courses.

It examines the connections between the different aspects of finance and the financial markets, as well as the connections between theory and practice of markets and between theory and policy making.

By the end of the programme, you will be able to:

• Understand the financial markets in a way that few students or even young professionals are able to

• Make robust assessments of theoretical and policy-related issues, thanks to the sharing of experience of senior practitioners and top-level academics teaching the courses

• Be more effective and more creative in your professional environment and

• Be a more accomplished performer in the financial sector able to progress faster to senior levels

Job opportunities

Graduates of this master can look forward to job opportunities with a faster advancement potential in a broad range of companies, including:

• Banks

• Investment banks

• Asset managers & global custodians

• Hedge funds and private equity firms

• Consulting firms

• Audit firms

• Regulatory agencies

• Universities and research agencies

To successfully grow in your professional life and make the right choices for your career, it is fundamental to define your goals and have the tools to achieve them. The Solvay Brussels School’s career service will help you in building your career thanks to its strong connection with the business sector and to its dynamic team who will accompany each participant into the professional world. From self-assessment to networking opportunities, our team will assist participants to realise their full potential. Through a range of seminars, coaching sessions, workshops, events and other resources, we help our participants to discover the career path best suited to their personal fulfilment.

Interested? Visit http://am.solvay.edu/financial-markets/

Application Deadline

> Non-EU students: May 31st 2018 (recommendation related to visa procedures)

> EU students: July 15th 2018



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Are you ambitious of an international career? Are you attracted to a job in international business, like export manager, international purchasing manager, investment manager, international sales representative, country manager, or institutional relation manager? Then the Postgraduate in International Trade and Investment is exactly what you need. Read more
Are you ambitious of an international career? Are you attracted to a job in international business, like export manager, international purchasing manager, investment manager, international sales representative, country manager, or institutional relation manager? Then the Postgraduate in International Trade and Investment is exactly what you need. This academic postgraduate certificate offers you a specialized, comprehensive, and practically oriented programme that is unique in the world and designed to maximize your professional success.

Aims

The postgraduate in International Trade and Investment is a comprehensive programme aiming at delivering graduates who are able to independently conduct international business practices like export, import, sourcing, investing, M&A and international alliance formation. Courses of high academic quality are enriched by hands-on input from practitioners. Skills workshops will guarantee an optimal functioning at professional level.
The programme is organized by VUB's Brussels Diplomatic Academy http://www.vub.ac.be/en/brussels-diplomatic-academy

Target groups

- Bachelors or masters aspiring for a career in international business.
- Lawyers, legal advisors, consultants, civil servants and politicians who want to acquire knowledge about the various aspects of international trade and investment.
- Professionals who wish to broaden or reorient their career in the field of international trade and investment.
- Business people who wish to further professionalise their knowledge and skills.

Added value

The postgraduate in International Trade and Investment offers you:
- A worldwide unique and specialized curriculum of 66 ECTS.
- A versatile programme that deals with the various aspects of international trade and investment.
- Practical orientation in order to maximize the professional success of its graduates.
- A transcontinental programme in international business. Students have the option to study in Washington D.C. and/or Shanghai.
- Internship services: an internship tutor assists the students in writing application letters, preparing for the interviews and identifying internship placements.
- Career services.

Attainment targets

Graduates will be able to:
- understand the full picture of international trade and investment (legal, fiscal, insurance, VAT, required documents, finance, insurance,…)
- develop international business (export, import, international investment, M&A, international alliance formation)
- compete on the international project market (international tendering) and/or offering consultancy in this field
- understand international business strategy
- protect intellectual property rights
- conduct international negotiations
- lobby at national and international level
- deploy the necessary skills needed within international business
- deploy the proper attitudes required within international business
- operate within an international context
- understand the jargon of international business development
- detect business opportunities
- draft reports on a country’s various economic sectors (market reports or industry reports)
- discuss economic diplomacy and international business with business people, diplomats, bankers, consultants, legal advisers and lawyers.

International opportunities

The Postgraduate in International Trade and Investment is a transcontinental programme.

In the second semester, students have the following possibilities:

Following 18 ECTS in Washington D.C.
Following 18 ECTS in Shanghai
Following 9 ECTS in Washington D.C. and 9 ECTS in Shanghai

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Join the fast track to a rewarding career in financial management. Read more

Join the fast track to a rewarding career in financial management. The Masters in Financial Management is your ideal launch pad to a career in the financial services sector or as a financial manager or CFO in an even broader range of companies. Get insights from renowned industry experts who combine their academic background with ample business experience. The Investment Research Challenge will put you to the test and have you working around the clock, to come up with a well-considered investment advice. Ranked 10th in Europe by the Financial times on value for money and 15th worldwide on placement success.

Get a view of live at Vlerick from this video

Campus: Brussels



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