Explore the programs and courses offered by Finance. International Trade.
Browse Programs Admission InformationThe Master’s program in Finance and International Trade is a two-year curriculum structured over four semesters. The first three semesters focus on theoretical instruction and practical skills development through a variety of specialized modules. The fourth semester is, however, devoted to a final thesis completion and an internship within a company, allowing students to gain experience while preparing their professional integration.
Master in Finance and International Trade is based on core courses constituting a coherent package encompassing:
Macroeconomic environment and international financial operations analysis (International Economics, International Financial Markets, International Trade Finance);
Global supply chains and its regulatory systems understanding (Information Systems and Logistics Networks Design, Transport and International Logistics, Customs Techniques);
Risk management (International Insurance, Policies and Foreign Exchange Risk Management, Financial Engineering, Portfolio Management, Commodity Exchange and Derivatives).
This structuring academic foundation allows graduates to develop rigorous expertise to meet global market changes.
The Master’s program in Finance and International Trade offers carefully curated advanced topics aligned with the evolving global economic environment. Thus, particular attention is paid to modelling techniques and data analysis tools mastery. In fact, artificial intelligence, advanced econometrics, computer programming and statistical software are fully integrated into the curriculum enabling students to solve complex problems and respond effectively to labor market’s emerging demand.
Applicants must fulfill one of the following academic prerequisites:
Hold a License degree in Finance and International Trade
Or have obtained a closely related License degree in the same stream
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