The Master in Finance program at the University of Iasi focuses on finance and risk management. It includes international cooperation with universities in Austria, Italy, and Poland, and a partnership with a local bank. The program aims to increase the internationalization and quality of finance master's studies through student mobility, specializations, and ties to the financial sector. The curriculum includes asset management, insurance management, quantitative methods in finance, and risk management in banking. The program is delivered in English and offers opportunities for double degrees with partner universities. It is designed for professionals seeking analytical and research skills for careers in finance and risk management.
Modules
- managementul activelor
- managementul asigurărilor
- metode cantitative în finanțe
- managementul riscului bancar