VSB - Technical University of Ostrava
金融硕士
Ostrava, 捷克
期间
2 Years
语言
英语
步伐
全职
报名截止日期
请求申请截止日期
最早开始日期
Sep 2024
学费
CZK 50,000 / per semester
学习形式
在校园
介绍
金融硕士
该课程是金融、会计与税务、经济与管理、市场营销和其他经济导向课程的学士学位课程的延续。至少已完成学士学位课程并具备英语语言知识的候选人可以申请。该计划是作为一个为期两年的课程准备的。由国家审查和论文答辩完成。成功毕业的毕业生被授予硕士学位。完成该课程后,可以继续在经济学院、VŠB-TU Ostrava 或其他经济方向课程攻读博士学位。
硬技能
- 经济和财务管理知识
- 管理技能的应用
- 投资决策知识
- 保险知识和方向
- 了解业务流程及其管理
- 银行知识
- 保险产品评估
- 应用法律/经济工具解决问题
- 投资项目的财务和经济分析
- 财务决策能力
- 分析能力
- 管理银行机构和公司的能力
- 企业管理的经济分析
- 财务会计和税务知识
- 企业财务管理
- 财务分析知识
招生
课程
Semester 1
- Financial decision-making under risk
- Macroeconomics B
- Mathematics in Economics
- Public Finance
- Statistics B
- Valuation and Acquisitions
Semester 2
- Financial Markets II. A
- Financial models
- Insurance II.
- Microeconomics B - Intermediate Microeconomics
- Special seminar
Semester 3
- Diploma Seminar A
- Econometrics
- Financial Markets II. B
- International Finance
- Monetary Economics
Semester 4
- Diploma Seminar B
- Diploma Thesis
- Seminar on Selected Issues in Tax Theory and Practice
计划成果
Hard Skills
- Knowledge of banking
- Evaluation of insurance products
- Ability to make financial decisions
- Knowledge of financial analysis
- Financial and economic analysis of investment projects
- Application of legal/economic tools for problem-solving
- Application of managerial skills
- Knowledge of financial accounting and taxes
- Business financial management
- Ability to manage banking institutions and companies
- Analytical skills
- Knowledge of investment decisions
- Knowledge of business processes and its management
- Economic analyses of business management
- Knowledge of economics and financial management
- Knowledge and orientation in insurance
Study Aims
该项目旨在培养高素质的专业人才,能够在企业和机构管理层的中高层执行与财务、会计和税务问题相关的专业分析工作和管理职能。该研究的结构和重点是,毕业生可以在财务部门和非金融机构(制造和贸易公司)、金融机构(商业和投资银行、投资公司、保险公司)和国民经济(国家和地方行政部门)的财务管理部门找到工作。
Graduate's Knowledge
研究的基础是从以下领域获取知识:
- Financial management and business decision-making,
- 金融市场、商业和投资银行、保险、投资公司和保险公司的运作,
- Financial decision-making under risk, investment decision-making, company valuation, financial modeling,
- Valuation of derivatives, management of financial portfolios,
- International finance, international financial institutions, financial systems, fiscal and tax systems.
Graduate's skills
毕业生将获得以下专业技能:
- 应用财务模型,
- 进行财务分析,
- 确定面临风险的公司和项目的价值,
- 应用多标准决策模型,
- 投资组合管理和建模,
- 预测财务变量,
- 量化和对冲市场风险,
- 制定投资策略,
- 对税收和税收制度进行比较。
Graduate's general competence
Program graduates will be able to:
- Decide independently and responsibly under new or changing circumstances,
- Communicate their own professional opinions to experts and the wider public in a clear and convincing way,
- Use their expertise and skills in the English language.
工作机会
Graduate's Employment
Graduates are prepared for highly qualified positions in which they will be able to perform analytical jobs and managerial functions at the level of middle and top management of companies, banks, insurance companies, and other banking and non-banking institutions.