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| Annual Tuition Fee: | ≈ € 1,896 - ≈ € 5,062 (non-EEA) | ||
| Location: | Venice / Italy / View location on map ▾ Hide location on map ▴ | ||
| Duration: | 24 months | Start Date: | September |
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| Credits (ECTS): | 120 | ||
| Languages: | English French Italian | ||
This Second Cycle Degree Programme aims to produce experts able to proficiently tackle the main financial issues relating to financial markets, brokerage management, financial investments management and financial risks measurement and management, financial consultancy and insurance, supplementary allowance and retirement funds management, internal organisation processes and administrative management of banks and financial institutions in general.
Second cycle graduates will acquire any necessary knowledge to access financial institutions (trade banks, savings management companies, insurance companies) and professionally operate as risk managers and controllers, analysts and consultants in financial fields, as well as insurance and reinsurance broker.
Depending on the free elective exams, students may focus on a specific study area according to the following recommended plans of study:
Contact Professor: Prof. Alberto Urbani (e-mail: albeurba@unive.it)
This curriculum trains graduate experts in the organisation of internal processes and the administrative management of banks and financial intermediaries in general, as well as monitoring of relationships with authorities and bodies in charge of intermediaries and financial market control.
Contact Professor: Prof. Paolo Pianca (e-mail: pianca@unive.it)
This curriculum trains graduate experts in financial consultancy and in the areas of insurance, supplementary allowance and retirement funds management. It provides students with in-depth knowledge of quantitative finance and actuarial techniques.
Contact Professor: Prof. Paolo Biffis (e-mail: biffis@unive.it)
This curriculum trains second cycle graduates able to operate in the main areas of financial intermediaries management (credits, finance, treasury, securities, organisation, planning and control) and within companies managing regulated financial markets.
Contact Professor: Prof. Monica Billio (e-mail: billio@unive.it)
This curriculum aims trains second cycle graduates able to thoroughly and skilfully tackle specific issues such as the measurement and management of financial risks.
The educational activities include classroom teaching, workshops and internships (even abroad), in order to acquire wide-ranging skills that can be readily transferable into the world of work.
During the whole university career, the various skills and knowledge acquired by students will be assessed through written and oral examinations.
The degree exam consists in writing a thesis, which must possess the characters of originality, exhaustive documentation and scientific investigation and which will be discussed with a committee of university professors and experts.
You are normally required to take an English Proficiency Test if you come from a non-English speaking country.
Most European Universities recognise the IELTS test.
More informationGRE Scores are accepted at business schools worldwide. Learn more and register.
Register Now!To be admitted to this Second Cycle Degree Programme students must:
| Minimal degree required: | Bachelor's degree |
| Minimal amount of work experience | Not specified |
The fields that are marked with a red star (*) are required.