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Finance

Why Finance

At University of Europe for Applied Sciences, 86% of graduates secure employment within their first year, with half beginning at salaries exceeding €50K. Through strategic partnerships with DHL, Daimler, and Axel Springer, students access internships and projects where they immediately apply their knowledge. Meanwhile, the global GUS Germany GmbH network connects 15,000 students worldwide, creating an environment rich in international networking opportunities.

Financial Management at University of Europe

The Financial Management MBA program teaches students to analyze numbers while recognizing the business processes behind them. Courses like Performance Management and Control develop deep analytical skills, helping students integrate financial decisions into corporate strategic planning. Advanced Corporate Finance bridges theory with entrepreneurial practice. Over three semesters, students master quantitative analysis and managerial accounting under expert guidance, while learning to consider ethical dimensions in decision-making.

Master in Financial Risk Management

The Financial Risk Management MBA combines traditional risk management with innovative approaches through disciplines like Innovation Management, Corporate Governance and Ethics. Students at University of Europe for Applied Sciences learn to transform threats into opportunities using Enterprise Risk Management methodologies—from identifying risks to creating insurance mechanisms. A hybrid format (offline + online) enables deeper immersion in material, blending theory with practitioner-led masterclasses, which prepares graduates for roles as risk managers or corporate analysts.

Master in Investment Banking

The Investment Banking MBA centers on modules covering Mergers and Acquisitions, Private Equity, and Valuation Methods. Disciplines like Leadership Management and Risk Management are supplemented with real investment banking cases, creating full professional immersion. The Spotlight module serves as a training ground for complex transactions, with its five-stage structure teaching students to dissect financial operations—particularly valuable for future M&A transaction leaders.

Master of Science in Asset Management

Asset Management MSc students explore portfolio investments ranging from classical strategies to cryptocurrency assets. The Spotlight Portfolio Management and Trading module revolves around real market challenges, where students learn to diversify risks and forecast global market fluctuations. Practical trading sessions develop skills in managing multi-currency portfolios, preparing University of Europe for Applied Sciences graduates as versatile specialists capable of working with both traditional assets and next-generation digital instruments.

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