Professional training that allows you to exercise financial functions in banking and financial institutions. Graduates are quickly operational in the areas of financial risk assessment and management.
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Objectifs
Initial training
/
Accessible for resumption of studies
/
Alternance (Apprenticeship, Contrat de professionnalisation)
Master
2 years
EUR Economie et Management
Campus Saint Jean d'Angély
French
Details
Rhythm
Initial training
Continuous training
Study while working
The second year of the Master MBFA parcours "Management Bancaire et Finance Internationale" option "Analyse Financière et Gestion d'Actifs" offers students technical and applied knowledge in the fields of market finance, corporate finance, risk and compliance assessment.
The skills that the students must master have been identified in collaboration with the main partners of the master, who also provide internships. The training is provided by academics and by professionals from the banking and financial sector. The targeted professions relate to investment banking and private banking. In particular: Financial analyst, Operator on derivatives and financial markets, Risk and commitment analyst, Corporate business manager, Treasury and financing manager.
Students of a bachelor's degree in Economics and Management, a bachelor's degree in Applied Mathematics in Social Sciences (MASS), a professional bachelor's degree in Banking, Insurance, Finance.
International candidates outside exchange programs must apply on the platform "Études en France" - French Agency in the favor of graduate studies, welcoming foreign students and mobility programs. This platform allows people from certain countries to come to France to start or continue a university program. Check the procedure
Conditions of admission / Conditions of successful application
The admission criteria on file take into account the academic level since the bac, the level in fundamental subjects in economics and finance, a minimum level of French of C1 (for non-French speakers), the project and professional experiences.
An initial selection on file will give rise to an oral interview with the training directors.
Obtaining a work-study contract will be an asset in the selection process.
NASICA Eric - Produits structurés, stratégies d'options et de couverture
BRUNO Olivier - Produits structurés, stratégies d'options et de couverture
ORIOL Nathalie - Outils et techniques de la gestion de portefeuille
NASICA Eric et BRUNO Olivier - Méthodologie du mémoire
MAY Cathy - Economic and financial issues
DUFOUR Dominique - Outils et pratiques de la gestion et de l'analyse financière
GIORDAN Philippe - Outils et techniques de la gestion de portefeuille
BARBERIS Xavier - Outils et techniques de la gestion de portefeuille
PANSARD Fabrice - Outils et techniques de la gestion de portefeuille
CIOSI Franck - Produits structurés, stratégies d'options et de couverture
LAHMEK Nabil - Produits structurés, stratégies d'options et de couverture
LEFEVRE Jérôme - Produits structurés, stratégies d'options et de couverture
DUNIAGUE Julien - Produits structurés, stratégies d'options et de couverture
BOUDIN de l'ARCHE Christopher - Produits structurés, stratégies d'options et de couverture
HUSTON Julien - Produits structurés, stratégies d'options et de couverture
MONDOLONI Cyril - Ingénierie patrimoniale, règlementation et conformité
LE MARREC Julien - Ingénierie patrimoniale, règlementation et conformité
BUNETA Anthony - Ingénierie patrimoniale, règlementation et conformité
FIORENTINI Michaël - Ingénierie patrimoniale, règlementation et conformité
LIPARI Giovanni - Ingénierie patrimoniale, règlementation et conformité
FRANCESCON Ivo - Ingénierie patrimoniale, règlementation et conformité
BONFILS Isabelle - Séminaire de préparation aux entretiens d'embauche : management du savoir-être
TIGLI Nathalie - Outils et pratiques de la gestion et de l'analyse financière
CLEMENT Adeline - Outils et pratiques de la gestion et de l'analyse financière
RICHER Julien - Outils et pratiques de la gestion et de l'analyse financière
MAYNARD Benoit - Outils et pratiques de la gestion et de l'analyse financière
Divers intervenants - Conférences de méthodes et de recherche
CARTAPANIS André - Analyse macroéconomique des marchés financiers internationaux
MILLELIRI André - VBA appliqué à la finance
MONTMARTIN Benjamin - Produits structurés, stratégies d'options et de couverture
The training takes place from September to the end of March at the rate of 1 week in the company and 1 week in class. From mid-May until the end of August, work-study students are 100% in their company.
Part of the classes are assessed in continuous assessment (personal work, group work, oral presentations) and the other part is assessed in the form of final terms (exams that last from 1 to 2 hours). Group work is assessed by students giving back essays that also count in the grading of the internship.
Master 1 MBFA students, if successful in their exams, are by right allowed into the Master 2 Parcours MBFI Option AFGA.
Master 2 students can continue their study by opting for a PHD, subject to obtaining funding.
Corporate affairs manager, professional account manager, agency wealth advisor, bank branch manager, risk and commitment analyst ...
In private and investment banking:
Portfolio and asset manager, financial analyst, operator on derivatives and financial markets, treasury and financing manager, compliance officer, asset engineer in private banking ...
Registration fees for the national diplomas are set each year at national level. You will also have to pay a student and campus life contribution (CVEC) to the CROUS prior to any registration.
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