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Masters Degrees in Banking, Switzerland

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With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. Read more
With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. In the fields of Financial Markets, Financial Institutions, Corporate Finance and Quantitative Methods, the programme offers high-quality education in both theory and application. It is designed to train our students in the critical reflection of various concepts and approaches prevailing in financial theory and practice. The high quality in teaching and education was confirmed by the Financial Times Ranking 2017 (10th place among more than 200 business schools ranked worldwide).

Curriculum: contents and structure

The core studies are made up of compulsory courses and electives, including a research seminar.

Compulsory subjects

In the first semester of the programme, students attend the compulsory courses Financial Markets, Financial Institutions, and Quantitative Methods. In these challenging courses the essential knowledge of finance will be acquired.

Core electives

In the second and third semesters, students may design their individual curriculum according to their preferences and can choose several core electives in order to focus on financial markets, corporate finance, institutions or methods. They can freely combine courses from our long list of core electives.

Research seminar

In the research seminar, students are required to write a seminar paper with a research focus and they have to present their findings. In combination with the Master’s thesis, the MBF therefore provides a thorough preparation for a Ph.D.

Independent electives

Independent electives create additional choices: students may either attend further core electives of the MBF or courses of other Master’s programmes. A third option is to attend courses of the School of Management.

Career perspectives

The MBF guarantees a successful career start. Our students
• take up jobs involving practical work in financial institutions such as banks, insurance companies, asset management firms, etc;
• work for consulting firms in fields related to financial markets;
• work as auditors in the fields of banking and insurance;
• pursue an academic career in finance, banking or insurance management in the context of doctoral studies (Ph.D.).

Language

The MBF ist taught in English.

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This major covers a diverse range of areas in the finance industry, from the financial organisation, operation and challenges of the economy at large to issues of financial management in firms and financial institutions. Read more
This major covers a diverse range of areas in the finance industry, from the financial organisation, operation and challenges of the economy at large to issues of financial management in firms and financial institutions. This program equips you with the analytical foundation and the tools necessary to deal with important practical issues in a finance-centred career. It is the perfect preparation for management positions in the fields of corporate finance, investment management and other diverse areas in banking and finance.

Course structure

The MBA in Global Banking & Finance program lasts one year, divided into three terms. Each term students complete five courses, including industrial visits and guest speaker sessions. In order to graduate, students must complete a management research methods module and a dissertation subject in addition to the other courses.

Term 1 (18 CH | 23 ECTS)

Management Skills (3 | 4)
Organisational Behaviour (3 | 4)
Managerial Accounting (3 | 4)
Marketing (3 | 4)
Quantitative Business Methods (3 | 4)
Negotiation (seminar) (1 | 1)
Business Law (seminar) (1 | 1)
Personal & Professional Development (1 | 1)

Term 2 (21 CH | 27 ECTS)

Finance (3 | 4
Human Resources Management (3 | 4)
Global Economics (3 | 4)
Strategic Management (3 | 4)
Management Information Systems (3 | 4)
Business Strategy Simulation (3 | 4)
Job Career Planning (seminar) (1 | 1)
Communication Skills (seminar) (1 | 1)
Personal & Professional Development (1 | 1)

Term 3 (15 CH | 20 ECTS)

Financial Investments (3 | 4)
Financial Planning (3 | 4)
Short-Term Financial Management (3 | 4)
Long-Term Financial Management (3 | 4)
Advanced Finance (3 | 4)

Graduation Requirements:

EU Research & Dissertation Seminars*
EU Dissertation (14 | 20)

*EU Research & Dissertation Seminars will be taken over 2 terms

Learning Outcomes

Graduates of this program enter the field with a finely-tuned financial knowledge base that is crucial to making sound and profitable decisions. Students will also:

1. Interpret data, newspapers, technical reports and articles on investments.

2. Develop a basic understanding of derivative-related financial instruments.

3. Review what is required to start and operate a small business.

4. Prepare a small, comprehensive, business plan.

Faculty

EU’s high-caliber faculty is made up of full-time academics with doctoral degrees, as well as part-time instructors who are also current members of the international business community. Our faculty members have current or previous experience as entrepreneurs, consultants and business leaders. This merge of the academic and professional worlds supports a unique and exceptional quality of learning, reinforcing EU's pragmatic approach to education.

Careers

Students completing this major pursue careers in:

Investment banking
Financial management and planning
Strategic acquisitions
Credit strategy management

Read less
This major covers a diverse range of areas in the finance industry, from the financial organization, operation and challenges of the economy at large to issues of financial management in firms and financial institutions. Read more
This major covers a diverse range of areas in the finance industry, from the financial organization, operation and challenges of the economy at large to issues of financial management in firms and financial institutions. This program equips you with the analytical foundation and the tools necessary to deal with important practical issues in a finance-centered career. It is the perfect preparation for management positions in the fields of corporate finance, investment management and other diverse areas in banking and finance.

Course structure

The MBA in Global Banking & Finance program lasts one year, divided into three terms. Each term students complete five courses, including industrial visits and guest speaker sessions. In order to graduate, students must complete a management research methods module and a dissertation subject in addition to the other courses.

Term 1 (18 CH | 23 ECTS)

Management Skills (3 | 4)
Organizational Behavior (3 | 4)
Managerial Accounting (3 | 4)
Marketing (3 | 4)
Quantitative Business Methods (3 | 4)
Negotiation (seminar) (1 | 1)
Business Law (seminar) (1 | 1)
Personal & Professional Development (1 | 1)

Term 2 (21 CH | 27 ECTS)

Finance (3 | 4
Human Resources Management (3 | 4)
Global Economics (3 | 4)
Strategic Management (3 | 4)
Management Information Systems (3 | 4)
Business Strategy Simulation (3 | 4)
Job Career Planning (seminar) (1 | 1)
Communication Skills (seminar) (1 | 1)
Personal & Professional Development (1 | 1)

Term 3 (15 CH | 20 ECTS)

Financial Investments (3 | 4)
Financial Planning (3 | 4)
Short-Term Financial Management (3 | 4)
Long-Term Financial Management (3 | 4)
Advanced Finance (3 | 4)

Graduation Requirements:

EU Research & Dissertation Seminars*
EU Dissertation (14 | 20)

*EU Research & Dissertation Seminars will be taken over 2 terms

Learning Outcomes

Graduates of this program enter the field with a finely-tuned financial knowledge base that is crucial to making sound and profitable decisions. Students will also:

1. Interpret data, newspapers, technical reports and articles on investments.

2. Develop a basic understanding of derivative-related financial instruments.

3. Review what is required to start and operate a small business.

4. Prepare a small, comprehensive, business plan.

Faculty

EU’s high-caliber faculty is made up of full-time academics with doctoral degrees, as well as part-time instructors who are also current members of the international business community. Our faculty members have current or previous experience as entrepreneurs, consultants and business leaders. This merge of the academic and professional worlds supports a unique and exceptional quality of learning, reinforcing EU's pragmatic approach to education.

Careers

Students completing this major pursue careers in:

Investment banking
Financial management and planning
Strategic acquisitions
Credit strategy management

Read less

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