Máster Universitario en Finanzas y Banca
| Program start date | Application deadline |
| 2026-09-25 | - |
Program Overview
Introduction to the Master's Program in Finance and Banking
The Master's Program in Finance and Banking is designed to provide students with a comprehensive understanding of the financial sector, including its theoretical foundations, practical applications, and current trends. The program aims to equip students with the knowledge, skills, and competencies necessary to succeed in the field of finance and banking.
Program Overview
The Master's Program in Finance and Banking is a 10-month program that consists of 60 ECTS credits. The program is divided into three trimesters, with the first trimester focusing on the fundamentals of finance and banking, and the second and third trimesters offering specialized courses in areas such as financial markets, risk management, and financial institutions.
Specializations
The program offers three specializations:
- Especialización en Mercados: This specialization focuses on financial markets, including the analysis and management of financial instruments, portfolio management, and risk management.
- Especialización en Gestión del Riesgo: This specialization focuses on risk management, including the identification, assessment, and mitigation of financial risks.
- Finanzas y Banca (itinerario personalizado): This specialization allows students to customize their program by choosing from a range of elective courses.
Admission Criteria
The program is designed for students who have a bachelor's degree in a relevant field, such as economics, business, or finance. Admission criteria include:
- A bachelor's degree from a recognized university
- A minimum GPA of 3.0
- English language proficiency (TOEFL or IELTS)
- Letters of recommendation
- Personal statement
Tuition Fees
The tuition fees for the program are 14,000 euros.
Research Areas
The program covers a range of research areas, including:
- Financial markets and instruments
- Risk management and financial institutions
- Corporate finance and financial management
- Financial regulation and policy
Career Opportunities
Graduates of the program can pursue a range of career opportunities in the financial sector, including:
- Investment banking
- Asset management
- Risk management
- Financial analysis
- Portfolio management
Faculty
The program is taught by a team of experienced faculty members who are experts in their fields. The faculty includes:
- Xavier Brun Lozano: Senior Lecturer and Director of the Master's Program in Finance and Banking
- Oscar Elvira Benito: Senior Lecturer and Director of the Finance and Control Department
- Xavier Freixas Dargallo: Emeritus Professor and Director of the Master's Program in Finance and Banking
Methodology
The program uses a range of teaching methodologies, including:
- Lectures
- Case studies
- Group work
- Presentations
- Discussions
Evaluation
The program is evaluated through a range of assessment methods, including:
- Exams
- Assignments
- Group work
- Presentations
- Final project
Conclusion
The Master's Program in Finance and Banking is a comprehensive program that provides students with a thorough understanding of the financial sector. The program offers a range of specializations, a strong faculty, and a range of career opportunities. With its focus on practical applications and current trends, the program is an excellent choice for students who want to pursue a career in finance and banking.
