Students
Tuition Fee
Start Date
Medium of studying
Duration
Details
Program Details
Degree
Masters
Major
Banking and Insurance | Finance | Financial Planning
Area of study
Business and Administration
Course Language
English
About Program

Program Overview


Program Overview

The Master's degree in Financial Institutions, International Finance, and Risk Management (IFIR) aims to develop graduates with business, economic, and quantitative skills to analyze economic, financial, and credit phenomena in dynamic contexts.


Program Structure

The course is divided into two curricula:


  • Banking & Financial Intermediaries
  • Corporate Finance & Investment Banking The program offers theoretical and analytical preparation required by the job market.

Program Objectives

The IFIR program has the objective of forming graduates who have developed business, economic, and quantitative skills to analyze economic, financial, and credit phenomena in dynamic contexts.


Course Details

  • The program will be held in the academic year 2025/2026.
  • The course "BANK CORPORATE GOVERNANCE" (in English) will be held in the second semester of the academic year 2025/2026.
  • The lesson schedule for the first semester of the academic year 2025/2026 is available.

Program Presentation

The IFIR Study Program Presentation will take place on December 10 from 10:00 a.m. to 12:00 p.m. in the Acquarietto classroom, Via del Castro Laurenziano 9.


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