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EU Business School, Munich

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Bavaria

Germany

The Master of Finance program at EU Business School, Munich is designed to equip students with a comprehensive understanding of finance and investment, preparing graduates for a robust career in the financial sector. This program emphasizes both theoretical frameworks and practical applications, enabling students to delve deeply into financial principles while honing the analytical skills necessary for real-world success. Through a balance of rigorous coursework and hands-on experiences, students will explore advanced topics such as corporate finance, investment strategies, financial markets, and risk management, ensuring they develop a holistic view of the financial ecosystem.

The curriculum is meticulously structured to cover key areas relevant to today’s financial landscape. Core courses include Financial Analysis, Investment Management, Corporate Finance, and Financial Econometrics, amongst others. These subjects lay the groundwork for specialized electives that allow for customization of the educational experience. Students can choose from topics such as Behavioral Finance, International Finance, and Financial Modelling, thereby tailoring their studies to align with personal career aspirations. These courses are designed not only to impart knowledge but also to foster critical thinking and problem-solving abilities, essential for navigating the complexities of the finance industry.

The faculty at EU Business School, Munich is composed of distinguished scholars and seasoned industry professionals who bring a wealth of knowledge and experience to the classroom. Their teaching methodology is rooted in interactive learning, encouraging students to engage in discussions, case studies, and collaborative projects. This approach allows students to learn from real-world scenarios, gaining insights that augment academic knowledge with practical wisdom. Moreover, faculty mentorship is a key component of the program, as professors often guide students in undertaking research projects, providing valuable feedback and industry insights that enhance the overall educational experience.

Research opportunities are abundant at EU Business School, Munich, where students are encouraged to engage in meaningful inquiry and contribute to the field of finance. The university provides access to high-end labs and state-of-the-art resources, fostering an environment conducive to innovative research. Students can collaborate with faculty on projects that explore emerging trends in finance, and they often have the chance to publish their findings in academic journals. This emphasis on research not only bolsters students’ resumes but also positions them as thought leaders in their domain, a crucial advantage in a competitive job market.

Furthermore, the Master of Finance program is renowned for its robust industry connections and internship opportunities. EU Business School, Munich collaborates with various financial institutions, corporations, and consulting firms, providing students with avenues for internships and networking. These experiences allow students to apply their classroom knowledge in real-world settings, bridging the gap between theory and practice. Graduates of the program report high levels of job placement success, with many securing positions at prestigious organizations, thanks to the program's excellent placement services and the extensive professional networks developed during their studies.

Career pathways for graduates of the Master of Finance program are diverse and expansive. Alumni have gone on to work in various sectors, including investment banking, corporate finance, asset management, and financial consulting. Job roles often include Financial Analyst, Investment Banker, Risk Manager, and Financial Consultant, among others. The program not only prepares students for immediate employment but also equips them with the skills necessary for long-term career advancement in the financial sector. Alumni success stories highlight the transformative impact of the program, showcasing individuals who have excelled in their respective fields and have made significant contributions to the industry.

Why Study Finance at EU Business School, Munich?

  • A prestigious program recognized globally for its academic excellence and practical training.
  • Diverse international community fostering cross-cultural collaboration and understanding.
  • Access to experienced faculty who are leaders in their fields, providing mentorship and guidance.
  • Comprehensive curriculum that balances theoretical knowledge with practical application.
  • Robust alumni network that aids in job placements and career advancement opportunities.
  • Excellent resources for research, including access to high-end labs and databases.
  • Flexible electives that allow students to specialize in areas of personal interest and career goals.
  • Strong focus on developing critical thinking, analytical skills, and financial acumen.

To be eligible for the Master of Finance program, applicants are required to have a recognized bachelor's degree or equivalent qualification. Proficiency in English is essential, and prospective students must submit standardized English test scores, such as IELTS (minimum score of 6.5), TOEFL (minimum score of 89), or PTE (minimum score of 59) to demonstrate their language abilities. Additionally, candidates are encouraged to showcase their academic achievements, professional experiences, and personal motivations through a compelling application portfolio.

The deadline for applications for the upcoming intake is January 15th, 2024. This timeline allows prospective students ample opportunity to prepare their materials and secure their spot in a program that promises to be a transformative stepping stone in their professional journey. In conclusion, the Master of Finance at EU Business School, Munich is not just an academic program; it is a gateway to a successful and impactful career in finance, empowering students with the knowledge, skills, and networks required to thrive in this dynamic field.

intake

Duration

12 Months

Class Profile

Diversity

North America:

5%

Africa:

1%

Asia:

10%

South America:

2%

Others:

12%

Europe:

30%

Germany:

50%

Eligibility Criteria

English Proficiency Tests

  • IELTS

    6.5

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  • PTE

    59

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  • TOEFL

    89

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Application Requirements

Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.

      Application Deadlines

      Program Start Date
      WinterJan 15, 2024

      FAQs

      • Admissions Requirements

        To be eligible for the Master of Finance program, applicants must meet the following criteria:

        • A recognized bachelor's degree or equivalent qualification.
        • Proficiency in English, demonstrated by standardized test scores such as:
        1. IELTS (minimum score of 6.5)
        2. TOEFL (minimum score of 89)
        3. PTE (minimum score of 59)

        Additionally, candidates are encouraged to present their academic achievements, professional experiences, and personal motivations through a compelling application portfolio.

      • Program Structure

        The Master of Finance program features a meticulously structured curriculum covering core areas relevant to today’s financial landscape. The key components include:

        • Core Courses: These include essential subjects like Financial Analysis, Investment Management, Corporate Finance, and Financial Econometrics.
        • Specialized Electives: Students can customize their educational experience by choosing from electives such as Behavioral Finance, International Finance, and Financial Modelling.

        This structure is designed to impart knowledge while fostering critical thinking and problem-solving abilities necessary for the finance industry.

      • Career Prospects

        Graduates of the Master of Finance program have diverse and expansive career pathways. Alumni have successfully secured positions in various sectors, including:

        • Investment Banking
        • Corporate Finance
        • Asset Management
        • Financial Consulting

        Common job roles include Financial Analyst, Investment Banker, Risk Manager, and Financial Consultant. The program not only prepares students for immediate employment but also equips them with skills necessary for long-term career advancement, as highlighted by numerous alumni success stories in the industry.

      • Practical Learning Emphasis

        The Master of Finance program places significant emphasis on practical learning through:

        • Interactive Teaching Methods: Faculty employ interactive learning techniques that encourage student engagement through discussions, case studies, and collaborative projects.
        • Real-World Application: Students are exposed to real-world scenarios, which augment their academic knowledge with practical wisdom.
        • Industry Connections: The program offers robust internship opportunities and networking avenues with financial institutions, enhancing the application of classroom knowledge in real-world settings.
      • Program Highlights

        Studying finance at EU Business School, Munich offers numerous advantages, including:

        • A prestigious program recognized globally for its academic excellence and practical training.
        • A diverse international community fostering cross-cultural collaboration.
        • Access to experienced faculty who are leaders in their fields, providing mentorship.
        • A comprehensive curriculum that balances theoretical knowledge with practical application.
        • A robust alumni network that aids in job placements and career advancement.
        • Excellent resources for research, including access to high-end labs and databases.
        • Flexible electives allowing specialization in personal interests and career goals.
        • A strong focus on developing critical thinking, analytical skills, and financial acumen.
      • Teaching Methods

        The teaching methodology in the Master of Finance program is centered around interactive learning. Key components include:

        • Encouragement of student engagement through discussions and case studies.
        • Collaborative projects that mirror real-world financial scenarios.
        • Faculty mentorship, where professors guide students in research projects and provide feedback and industry insights.

        This interactive approach enriches the learning experience by blending academic knowledge with practical wisdom.

      • Research Opportunities

        Yes, research opportunities are abundant in the Master of Finance program. Students are encouraged to:

        • Engage in meaningful inquiry to contribute to the field of finance.
        • Collaborate with faculty on projects exploring emerging trends in finance.
        • Access to high-end labs and state-of-the-art resources to foster innovative research.

        Students often have the chance to publish their findings in academic journals, enhancing their resumes and positioning them as thought leaders in their domain.

      • Application Deadline

        The deadline for applications for the upcoming intake of the Master of Finance program is January 15th, 2024. This timeline allows prospective students ample opportunity to prepare their application materials and secure their spot in a transformative program.

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