MBA Option Banking

MBA Option Banking

MBA Option Banking

General Description:

This Masters programme covers the area of management, organizational accounting, financial analysis and corporate and market finance.  This specialized training will review financial decision-making, risk management and financial market behaviour.

Training objective:

At the end of this training programme, the student shall master techniques used in capital markets; he will acquire sound knowledge of the institutional environment and regulatory activities relating to financial activities and capital markets. The use of languages particularly English is an important component of this training.


Management positions (Financial analyst, economist, etc.,) in banks and financial institutions, brokerage firms, companies and private capita companies.


The internship included in your programme will give you practical experience and the opportunity to apply in real working environment knowledge acquired in the classroom.

Core Curriculum First year

  • Marketing Management
  • Geo-economics
  • Human Capital and Talent Management
  • Consumer Behaviour
  • Corporate Finance
  • Organization Design
  • Management Accounting
  • Brand Management
  • Team Building and Leadership
  • Governance, Ethics and Business Law

Second year Third Semester

  • Thesis Methodology
  • Risk Management
  • Bank Management
  • Bank and Financial Institutions
  • International Financial Markets
  • Investment Management

Second year Fourth Semester

Internships can also earn credits. Students may choose either to carry out internships with reports and viva voce, or to work outside and defend a Master’s thesis; however either option is worth 30 ECTS credits.