THE FINANCIAL CRISIS OF 2007-2009 HAS RAISED NEW ISSUES IN THE MANAGEMENT OF FINANCIAL RISK AND HAS CREATED NEW CHALLENGES FOR ALL PLAYERS IN THE FINANCIAL SERVICES SECTOR. BANKS, INVESTMENT MANAGERS AND OTHER FINANCIAL SERVICES FIRMS NEED TO GAIN BETTER CONTROL OF THEIR FINANCIAL RISKS. MARKET PARTICIPANTS AND RESEARCHERS FROM ACADEMIA NEED TO APPLY A MULTIDISCIPLINARY APPROACH TO FINANCE AND ECONOMICS. THE MAIN OBJECTIVE OF THE MSC IS TO MEET THESE NEEDS.
THE MSC PROGRAMME WILL PROVIDE YOU WITH THE NECESSARY SKILLS TO MASTER THE FINANCIAL RISK TOOLS WHICH ARE VITAL FOR FINANCING AND INVESTMENT IN BANKS AND TO FACE THE MARKET’S NEEDS.
The MSc in Investment Banking and Risk Management programme is designed for those interested in working inthe financial services sector and who have an academic background in Financial Mathematics/Applied Mathematics/ Engineering Sciences or Physics and have graduated with an International Bachelor’s degree in the fore-mentioned subjects or with a French Master’s degree (M1). The MSc programme will provide the skills needed to master advanced analytical tools needed in modern finance.
Students in the programme will develop the expertise to analyse and control financial risks. It covers areas such as Mathematical Finance, Risk Management, Programming and Finance, Regulation and Future Governance. The course is tailored to prepare students for jobs such as: Risk Analyst, Quantitative analyst, Structured product specialist, Compliance Officer, Auditor
The pedagogical approach blends theoretical teaching with the study of real-life cases. Students will have the opportunity to work on current business problems
with financial firms. As an integral part of the programme, students will complete a 4-6 month internship. After the internship, students will prepare a dissertation using the experience gained during their time in the company under the supervision of an Internship Tutor from the company and an ESILV professor specialised in the topic of the dissertation. The first semester of the the programme can be completed at ESILV (Paris) or at the University of Padova (Italy).
53K€ - THE MINIMUM INTERNATIONAL STARTING SALARY OF GRADUATES FROM THE DEPARTMENT OF FINANCE
10 - LECTURERS/RESEARCHERS IN THE FINANCE LAB, THE RESEARCH LABORATORY IN ECONOMICS AND FINANCE
12 - BLOOMBERG TERMINALS ON CAMPUS
FULL-TIME 18 MONTHS PROGRAMME IN ENGLISH
Model identification, calibration and data analysis
- Linear and nonlinear computational algebra : an introduction
- Model identification and calibration
Stochastic methods for finance
- Fundamentals of Stochastic methods
- Advanced Stochastic methods for finance
Stochastic differential equations
- Stochastic processes
- Stochastic differential equations
Scientific computing and programming
- Programming : an introduction to VBA and Matlab
- Object oriented programming and data mining
Statistics for Risk Management
- Extreme Value Theory
- Credit Risk
- Operational Risk
- Liquidity Risk
- Market Risk
- Derivative Product
- Asset Management
- Bloomberg and VBA for Finance
Accounting and Regulatory
- Asset Liability Management
- Basel 3
Beyond Basel III
- Interest Rate Risk Management
- Systemic Risk Modelisation
Bank of the future
- History of money and banking system
- International Finance andsystemic risk
- Bank and monetary policy
- French as a Foreign Language
WHY WE ARE DIFFERENT
OUR COLLABORATION WITH THE UNIVERSITY OF PADOVA FOR THE MSC IN INVESTMENT BANKING AND RISK MANAGEMENT PROGRAMME WILL GIVE YOU THE OPPORTUNITY TO CONNECT TO BOTH ESILV’S AND THE UNIVERSITY OF PADOVA’S EXTENSIVE NETWORK AND TO GAIN EXPERTISE FROM THE PROFESSORS FROM BOTH SCHOOLS
We offer an excellent work environment with state-of-the-art facilities in the heart of the largest financial district in Europe, La Défense – you will be where all the action is. ESILV is located in the Pôle Universitaire Léonard de Vinci, which offers students a highly-secure study environment where you will find up-to-date technology and equipment necessary for your studies. The Pôle Universitaire Léonard de Vinci has dedicated spaces for the comfort andwell-being of the students – including a choice of cafeterias, a sports center and lounge areas. From day one, when the international relations department meets you at the airport and helps you settle into Paris, you will get support from administrative and academic staff to make your learning experience in Paris a remarkable one.
If you choose to do the first semester at the University of Padova, you will get the opportunity to study in an institution with an incredible history. Not only does the University have the oldest University Botanical Garden in the world, you can also discover the ancient Palazzos, Astrological Observatory and historical collections in the museums. With about 65 000 students, the University of Padova is ranked as the leading Italian University, as well as being in the top 300 worldwide in the Shanghai rankings.
The following companies have shown their interest in the MSc in Investment Banking and Risk Management. As well as being members of the Scientific Comitee,
they will contribute to the taught-part of the programme and propose Internship offers in their companies: Société Générale (Risk and Capital Models Department), BRED (Department of Capital Markets), Blackridge Bank (President and CEO), Monte dei Paschi Siena (Head of Global Markets), DanskeBank (Head of Front Office Quantitative Applications), CONSOB (The Commissione Nazionale per le Società e la Borsa).
::BLOOMBERG TRADING ROOM::
The Pôle Léonard de Vinci has 12 Bloomberg terminals where you can simulate being a trader. The Bloomberg Trading room gives you the opportunity to familiarise yourself with the markets and its financial products, with the aim of becoming almost fully operational for your future employer. You will create
a network of contacts with the help of the Bloomberg Chat tool, where you can contact professionals and send them your CV.
12 months of classes
4-6 months Company Mission/ Internship (you can do this anywhere in the world)
Intake : February
Tuition fees : 15 000 €
To apply for the MSc in Investment Banking and Risk Management the pre-requisites are as follows:
- A French Masters 1 Level Degree in Financial Mathematics/ Applied Mathematics or Engineering Sciences
- An international Bachelor’s degree in one of the above-mentioned subjects
- An international Bachelor’s degree in Physics
::HOUSING AND COST OF LIVING::
The cost of living will vary significantly dependent on your lifestyle. This is estimated to be between 1 000 and 1 500 € per month (housing, food, electricity…). The International Relations Department will provide you with housing options offered by our housing partners.
::FOR MORE INFORMATION::
International Programmes Manager
Pôle Universitaire Léonard de Vinci
Tel : +33 (0)1 41 16 70 86[email protected]
To apply for the MSc in Investment Banking and Risk Management the pre-requisites are as follows:A French Masters 1 Level Degree in Financial Mathematics/ Applied Mathematics or Engineering SciencesAn international Bachelor’s degree in one of the above-mentioned subjectsAn international Bachelor’s degree in Physics