Master in of Money, Banking, Finance And Insurance

2 Years On Campus Masters Program

University of Montpellier

Program Overview

To provide students with the necessary skills to work as risk analysts analysing the different types of risk in order to be able to propose personal solutions in the field of risk management risk assessment of complex products, construction of structured products or complex portfolios, etc and actuarial science. To provide students with the skills to conduct research in public organisations and to understand financial and banking regulation and operations, to detect, assess and model risks and to evaluate financial products.

Program Key Stats

€180700 (Annual Fees)



Eligibility Criteria


6

Additional Information & Requirements

Career Options

  • Banking
  • finance
  • insurance
  • financial engineering
  • as well as data processing

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