Master's degree in Banking, Finance, Insurance
Program Overview
Program Overview
The Magistère Banque, Finance, Assurance is a comprehensive program designed to provide students with a deep understanding of the financial sector, including banking, finance, and insurance. The program is structured around three main pillars: Economics, Finance, and Quantitative Techniques and Programming Languages.
Program Structure
The program consists of two semesters, with a total of 13 weeks per semester. The first semester focuses on foundational courses, while the second semester delves into more specialized topics.
First Semester
- Static financial microeconomics (4 ECTS)
- Economics of globalization (2 ECTS)
- Statistics and probability (4 ECTS)
- Mathematics: optimization (2 ECTS)
- Financial accounting (4 ECTS)
- Operation of financial markets (3 ECTS)
- Fixed-income Products and Markets (3 ECTS)
- Python (2 ECTS)
- Communication techniques (2 ECTS)
- Professional communication in English (2 ECTS)
- CV workshop and simulation interviews with partners
- Private cryptocurrencies (2 ECTS)
Second Semester
- Bloomberg (BMC and Initiation certificate)
- Introduction to R
- Bond management under Bloomberg (2 ECTS)
- Financing the economy (2 ECTS)
- Asset valuation and portfolio management (2 ECTS)
- Financial management (4 ECTS)
- ESG Scientific and regulatory fundamentals (2 ECTS)
- Corporate law (2 ECTS)
- Dynamic financial microeconomics (4 ECTS)
- Growth theory (2 ECTS)
- Decision theory under uncertainty (2 ECTS)
- Theory and practice of econometrics (4 ECTS)
- Excel and VBA, e-learning (2 ECTS)
- Professional communication in English (2 ECTS)
- Cycle of professional conferences with partners
Pedagogical Modalities
The program incorporates innovative pedagogical methods, including projects, simulations, and group work. Students have access to a Bloomberg-equipped room, allowing them to work with real-world financial data and tools.
Internships and Tutoring Projects
Students are required to complete a three-month internship, which provides them with practical experience in the financial sector. The program also includes tutoring projects, which help students develop their skills and knowledge in a specific area of finance.
##Research The program is closely linked to the research activities of the university, ensuring that students are exposed to the latest developments and advancements in the field of finance.
International Dimension
The program has a strong international focus, with opportunities for students to study abroad and participate in international projects and conferences.
Career Opportunities
Graduates of the program can pursue a wide range of career opportunities in the financial sector, including banking, finance, insurance, and consulting. The program's strong focus on practical skills and real-world experience ensures that graduates are well-prepared to enter the workforce and succeed in their chosen careers.
