Italy is a highly-developed country with the 7th-highest GDP and the 17th-highest Human Development Index rating in the world. It is a member of the G8 and a founding member of what is now the European Union (having signed the Treaty of Rome in 1957), of the Council of Europe and of the Western European Union. Read more about studying in Italy
Finance is usually defined as the management of funds such as money. It embodies all processes in a business entity in order to allocate and repay financial resources which are needed for capital investments.
Find and compare 18 Masters in Finance in Italy. Below is a selection of the available study options. If you're interested in studying Finance in Italy you can view all 18 Master's programmes. You can also read more about the Finance discipline in general or about studying in Italy.
A course giving in-depth knowledge in economics and management. Graduates will be able to apply economic logic to the (macro- or microeconomic) system analysis. Three curricula are available, focusing respectively on (a) economic and business management issues (economics of national and international markets, industrial economics, business organization, decision-making processes, business management); (b) issues related to environmental economics, law, and business management in the context of tourism systems; or (c) advanced methodologies and quantitative models.
The programme is taught from an international perspective and addresses managerial issues that individuals, firms, and organizations face when approaching international markets.
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.
The Master of Science in Accounting, Financial Management and Control has the aim of providing students with the set of skills related to accounting, corporate finance, and planning and management control.
The Master of Science in Finance, taught entirely in English, is for graduates who wish to develop the latest skills in the field of quantitative finance, covering an exhaustive spectrum of technical and financial applications. Thanks to the qualified Faculty of Tor Vergata University the student will acquire all the theory and practical techniques needed for a successful career in the financial sector.
The Master in Insurance and Risk Management aims at forming experts in risk management, asset allocation and actuarial sciences with a strong quantitative background, in view of the challenges posed by Solvency II. Graduates of the program are expected to work in insurance and consulting companies as well as in regulatory agencies.
The MBA Retail in the Banking and Financial Industry is a challenging twelve-month full-time program and it is designed to enhance managerial skills and competences, particularly in the retail businesses and the financial industry.
The mission of the Program is to prepare students to offer high quality solutions to financial problems, both operationally and strategically. The Program is designed to provide you with the most advanced techniques of Financial Management and with an accurate knowledge of the principles that lie behind sound financial decisions.
The Master in Finance aims at preparing students for high level careers in investment, private and commercial banking, securities design and trading, risk and asset management. Students are most welcome to join research departments of government agencies and central banks too.
MAFINRISK is a full-time program taught in English designed 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.
The Master of Finance aims to develop the knowledge and skills required for a successful finance specialist or consultant. The program offers challenging courses in all the key areas of finance, from accounting and corporate finance to quantitative finance, risk management and derivatives
The Master of Science in International Business and Finance is geared to Italian and Foreign students whose aim is to acquire the skills to handle international activities of a company and to operate in international financial markets