3 Years On Campus Bachelors Program
The Bachelor en Management Appliqué (Option Finance et Économie) at École de Management Appliqué is a three-year program that builds a strong foundation in business management while specializing in finance and economics, perfect for students passionate about strategic financial roles like financial analyst, auditor, or project manager. It suits high school graduates (Baccalaureate or equivalent) eager to blend core management skills with practical finance tools, preparing you for dynamic careers in companies, banking, or entrepreneurship through interactive classes, real-world case studies, and a final-year internship or research project.
Curriculum Structure
Year 1 focuses on building essential business basics to give you a solid start. You'll dive into business organisation, business finance and accounting, and human resource management, learning how companies are structured, how to manage finances day-to-day, and how to lead teams effectively—all through hands-on, participatory methods that mirror real workplaces.
Year 2 ramps up with core management alongside intro finance concepts, sharpening your strategic mindset. Key units like marketing, project management, business strategy, and business English teach you to promote products, lead projects, craft winning strategies, and communicate globally, with interactive sessions full of actual business cases.
Year 3 dives deep into your finance specialization while wrapping up with professional prep. You'll master macro- and microeconomics, mathematics applied to finance, business finance and capital markets, financial risk management, banking risk management, statistics, and technologies for finance, plus choose an internship or research thesis to apply it all in the real world.
Focus areas: Macro- and microeconomics, mathematics applied to finance, business finance and capital markets, financial risk management, banking risk management, statistics and technologies for finance.
Learning outcomes: Gain practical skills in financial operations, risk management, strategic thinking, and business management; apply knowledge to real-world cases; emerge ready for roles like financial analyst, auditor, or operational manager.
Professional alignment (accreditation): This 180 ECTS Bachelor degree aligns with business management careers, emphasizing applied skills for company jobs or self-employment; taught in a participatory style with 50% continuous assessment and 50% exams.
Reputation (employability rankings): EMA equips you for immediate job readiness with 70% of professors holding PhDs, a multicultural environment, and dedicated career support for internships and placements—positioning graduates for success in Paris's global business hub.
Why Bachelor en Management Appliqué (Option Finance et Économie) at EMA Is Your Gateway to a Thriving Finance Career
The Bachelor en Management Appliqué (Option Finance et Économie) at École de Management Appliqué equips you with hands-on expertise that goes far beyond textbooks. This program bridges theory and real-world practice through interactive teaching methods that prepare you immediately for the financial sector. You'll develop critical analytical skills by engaging with actual business scenarios, working through case studies that mirror the challenges finance professionals face daily, and collaborating with classmates on complex financial problems. The curriculum emphasizes practical application across all core areas—from capital markets and financial risk management to banking operations—ensuring you graduate with confidence in your ability to perform in professional environments.
EMA's commitment to experiential learning means you're not just learning *about* finance; you're practicing it. The program integrates real-world workplace references throughout, and the teaching methodologies are explicitly designed to be participatory and interactive. This creates an environment where theoretical knowledge immediately translates into usable professional skills:
- Real case studies and analyses embedded throughout coursework, allowing you to apply concepts like financial risk management and capital markets strategy to authentic business situations
- Internship opportunities in your final year, giving you direct experience in finance departments, investment firms, and banking institutions
- Participatory, interactive teaching methods that move beyond lectures to active problem-solving and collaborative learning
- Assessment through both continuous evaluation (50%) and semester exams, including open-book and in-class assignments that mirror real professional tasks
- Specialized coursework in mathematics applied to finance, business finance, capital markets, and banking risk management—all practical frameworks used by industry professionals
- Industry connections that provide networking opportunities and exposure to contemporary financial practices
Upon graduation, you'll be prepared for high-demand roles including financial analyst, project manager, auditor, and management consultant—positions where your experiential foundation will immediately distinguish you from candidates with only theoretical training.
The Bachelor en Management Appliqué (Option Finance et Économie) at École de Management Appliqué is specifically designed to bridge the gap between classroom learning and professional practice. Rather than spending three years absorbing theory, you'll engage with actual business scenarios and financial challenges from day one. The program emphasizes participatory and interactive teaching methods that include numerous references to the real-world workplace, preparing you realistically for contemporary business administration practices. This hands-on approach ensures that by graduation, you're not just educated—you're employment-ready with practical experience employers genuinely value.
How You'll Build Real Financial Skills:
The program structure gives you direct access to professional-level experience through several key channels:
- Real case studies and analyses integrated throughout your coursework, allowing you to apply macro- and microeconomics, mathematics applied to finance, and financial risk management to actual business problems
- Internship opportunities in the final year, where you can work directly with financial institutions and corporate finance teams to gain hands-on experience
- Specialized curriculum units covering business finance and capital markets, banking risk management, and statistics and technologies for finance—all taught with contemporary workplace applications in mind
- Industry practitioner instructors who bring real financial sector experience into the classroom, offering direct insights into how professional financial analysis actually works
- Seminars and workshops conducted in collaboration with key financial institutions, providing valuable exposure to current industry practices and networking opportunities with finance professionals
- Participatory assessment methods combining 50% continuous assessment with 50% end-of-semester exams, including open-book exams and in-class assignments that mirror real professional scenarios
By the time you graduate, you'll have developed practical competencies including the ability to make and manage budgets, identify and oversee commercial risks, and apply advanced financial analysis techniques—all grounded in genuine professional experience rather than theoretical exercises alone.



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