The Master in Finance, Risk, Markets (MSc) trains experts capable of navigating the heart of financial, technological, and regulatory transformations.
The program combines analytical rigor with strategic vision to prepare students for high-impact roles, from leading FinTech projects to analyzing financial stability, advising on mergers and acquisitions, or managing innovative assets such as cryptocurrency and blockchain.
Designed for future analysts, consultants, managers, or entrepreneurs, this MSc opens doors to leading financial institutions as well as entrepreneurial ventures. It develops advanced expertise, a strong innovation mindset, and the ability to anticipate deep shifts in the financial sector.