In the challenging field of finance, Bocconi University prepares graduates to enter the workforce with a competitive edge. Distinguished faculty members pursue excellence in teaching and research in all subfields of finance, including corporate finance, asset pricing, financial intermediation, financial econometrics, risk management, and empirical analysis of capital markets.
Bocconi University offers two outstanding 2-year Master of Science programs in the field of FINANCE:
MSc in Finance
This highly ranked program allows students to master multiple areas of finance, investment banking, corporate finance and advisory, quantitative finance, risk management, derivatives and asset pricing. This, combined with technical skills in a specific field, is the program’s competitive advantage when compared to the one-year graduate programs widely available.
MSc in Accounting, Financial Management and Control
To help students succeed in this complex field, technical knowledge of financial reporting, financial and risk management, and performance measurement is integrated with the ability to read the business world and interpret its evolutionary trends. Students in this program acquire the expertise and skills related to the role of Chief Financial Officer, learning to analyze problems and make managerial decisions from a plurality of perspectives.
By filling out the form you enter a special coaching process. The QS team will select high-potential candidates and support them in preparing their application to Bocconi, helping you to unleash your full potential.
Give yourself a greater choice.