For those who seek innovative and successful Financial Management styles and skills, the MCF merges the creativity of the Italian culture with the most prominent international expertise.
Masters Degrees in Banking
A Specialized Master designed along with Companies, in cooperation with some Partners as Allianz, Generali, KPMG, EY. Confirmed among the Top 5 in the world in the 2020 Eduniversal Best Masters Ranking. Accredited by EPAS – European Programme Accreditation System – and ASFOR.
Studying Finance, Banking and Insurance MSc will enable you to pursue a wide range of careers in the financial services industry and to study further for professional institute exams.
This year-long full-time programme is designed for students who want to work in the areas of finance, financial services and banking, investment banking, retail banking, insurance, re-insurance and hedged funds as private client advisors and financial analysis both in the public and private sectors.
The course is designed to provide you with expertise in international finance and enable you to pursue a career within the finance profession. As well as the strong disciplinary base in international finance, you will draw on other cognate disciplines including accounting, quantitative methods and economics, and so be able to work with specialists in other areas and present findings and analysis to non-specialists.
This course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, delivered in an intensive learning environment. You will learn how to apply the knowledge and theory you have gained in class to real-world problems facing the international financial services industry and the corporate financial management community. This practical application of investment and risk principles is one of the main strengths of this program.
Property Finance is a well-established area of essential expertise within the real estate industry for the purchase and development of properties which may have varying levels of complexity. The finance specialist utilises modern skills, techniques and systems to successfully source and provide an adequate flow of accessible funds to buy, sell and develop land and buildings.
This course has been designed to develop the knowledge, skills, research interests and career prospects of those who work, or wish to work, in finance, treasury management or accountancy. It’s especially useful if you’re a graduate with little or no accounting experience, as it offers the opportunity to study modules which will cover this shortfall.
The Master Risk Management (MRM) is an international, full time, Master course organized by the Dipartimento di Economia e Management, University of Pisa, in collaboration with some prominent Italian and international financial institutions, banks and pension funds.
A full-time program taught in English for both economic and non-economic graduates who wish to develop specific technical abilities in the field of quantitative finance and risk management, covering an exhaustive spectrum of technical financial applications.