The MSc in International Finance is designed with two objectives in mind. Firstly, its mission is to educate students in a personalized academic environment for success in finance business by giving the student practical expertise in the key fields in this area, including Corporate Strategy, Risk Management, Investment Banking, or Derivative Products Management. Secondly, it teaches these professional skills within a global
macro-economic and financial environment, with market-oriented courses such as International Finance, Advanced Global Risk Management, and Country Risk Analysis, coupled with seminars and conferences held by keynote market specialists. The ultimate aim of the program is to enable students to realize their potential
in their future careers by: Giving students access to experienced financial specialists who strive for a delicate balance between the importance of strong academic skills and practical market experience; Improving and widening the career prospects of participating students by providing them with training in financial risk management and a good grasp of current issues in international finance; Offering a vehicle for career change for those participants who may be working or studying outside the field of finance.