

The Finance and Banking Master of Science is a 10-month, part-time online program designed to provide advanced knowledge in financial management, banking operations, and modern financial systems. The program focuses on key areas such as corporate finance, investment analysis, risk management, banking regulation, and financial markets. Students develop strong analytical and quantitative skills to evaluate financial performance and support strategic financial decision-making.
Graduates will be well-prepared for careers in Financial Analysis, Banking, Investment Management, and Risk Management across banks, investment firms, financial institutions, and multinational corporations. The program offers a flexible and applied learning experience, enabling students to interpret financial data and manage complex financial processes in global markets.
Semester 1 – Foundations of Finance and Banking
Semester 2 – Advanced Finance and Banking
Graduates of the Finance and Banking Master’s program are highly sought after in banking, financial analysis, and investment management. With expertise in financial markets, banking regulations, and investment strategies, graduates can pursue roles as financial analysts, bankers, investment advisors, or risk managers. The growing complexity of global financial systems ensures strong career prospects in banks, financial firms, and multinational corporations.
Finance and Banking program focuses on financial markets, banking operations, and investment strategies. Students will learn how to analyze financial data, assess risks, and develop investment portfolios. The program prepares graduates to work in the financial services industry, equipping them with the skills to navigate financial markets, banking regulations, and investment opportunities in a rapidly changing global economy.
For further information, please contact the admissions office at:
Phone: +34 935 422 000
Email: info@upf.edu
Address: Pompeu Fabra University (UPF), Plaça de la Mercè, 10-12, 08002 Barcelona, Spain