The MSc Banking & International Finance prepares you for careers at the heart of global finance. Combining strong analytical training with real industry exposure, the program equips you with the skills required to navigate financial markets, manage risk, and support strategic financial decision-making. As graduate students you will be able to pursue opportunities in international banks, financial institutions, consulting firms, and corporate finance departments.
As Risk Manager you will be responsible for identifying, assessing, and monitoring financial risks that could affect the stability and performance of a banking institution. Positioned at the intersection of financial analysis, regulatory compliance, and strategic decision-making, this role ensures that risks related to markets, credit exposure, liquidity, or operations are properly evaluated and managed.
In the banking ecosystem, risk management is essential to maintain financial stability and support sustainable growth. As a risk manager, you will play a key role in analyzing risk exposure, designing mitigation strategies, and supporting strategic financial decisions that protect the institution while enabling responsible business development.
Key responsibilitiesManage and optimize investment portfolios aligned with clients’ goals and risk profiles.Analyze financial markets to identify investment opportunities.Design diversified strategies across asset classes.Conduct financial analysis to evaluate securities and funds.Ensure regulatory compliance and support clients in achieving long-term financial objectives.
Most required skillsStrong financial analysis and valuation skills.Expertise in portfolio management and asset allocation.Good knowledge of financial markets and investment dynamics.Analytical and quantitative abilities for data-driven decisions.Communication skills to build client trust and explain strategies.
As an Asset Manager you will oversee investment portfolios on behalf of clients such as financial institutions, companies, or private investors. Working at the intersection of financial analysis, portfolio management, and investment strategy, this role ensures that assets are allocated efficiently to generate sustainable returns while managing financial risks.
In the financial ecosystem, asset management plays a central role in wealth creation and capital allocation. You will analyze financial markets, identify investment opportunities, and design portfolio strategies that balance performance, diversification, and risk management.
Key responsibilitiesManage and optimize investment portfolios in line with clients’ objectives and risk profiles.Analyze markets and economic trends to identify opportunities.Design diversified investment strategies across asset classes.Conduct financial analysis to assess securities and funds.Ensure compliance and support clients in achieving long-term goals.
Most required skillsFinancial analysis and valuation.Portfolio management and asset allocation.Strong knowledge of financial markets.Quantitative and analytical skills.Communication and client relationship abilities.
Beyond these examples, this Master’s degree also leads to positions such as:
The MSc in Banking & International Finance provides strong career prospects in a sector where skilled professionals are highly sought after. Graduates benefit from excellent employment rates and access to a wide range of roles across retail and investment banking, international financial institutions, and treasury management, in both international and domestic markets.
87% of graduates from the MSc Banking & International Business program find their first job within 4 months of graduating,
The first-highest percentage of our students obtained a position in Banking & Financial Services, highlighting the central role of financial intermediation and international capital flows in today’s interconnected global economy. A large share of our graduates also secured roles in areas such as Corporate & Investment Banking, Treasury & Cash Management, Risk & Compliance, and Trade Finance & International Transactions, reflecting the growing demand for expertise across cross-border financial operations. Finally, a significant portion work in broader domains such as Fintech & Digital Banking, ESG Finance & Responsible Investment, and other emerging fields linked to regulatory evolution, financial innovation, and the internationalization of capital markets.
This is front side content.
This is back side content.