Finance, Banking, and Insurance

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Program Overview

The Master’s in Finance, Banking, and Insurance is designed to train competent and versatile professionals in the financial sector. Over four semesters, students will gain a balance of theoretical knowledge and practical skills, preparing them to navigate the challenges and opportunities of the global financial landscape.

Program Objectives

  • Comprehensive Knowledge Acquisition
  • Develop a strong foundation in finance, banking, and insurance, with a focus on core principles, emerging trends, and industry innovations.
  • Practical Skills Development
  • Learn to analyze, interpret, and communicate complex financial and economic data to make informed strategic decisions.
  • Language & International Perspective
  • Strengthen English and Spanish skills to enable effective communication in international financial environments.
  • Career Preparation
  • Gain real-world experience through internships, business simulations, and exposure to AI and Business Intelligence for modern financial decision-making.


Teaching Language : French and english

Curriculum Highlights

Core Courses

  • Corporate Finance
  • Accounting for Financial Institutions
  • Capital Markets
  • Corporate Taxation
  • Insurance Economics
  • Banking Economics
  • Taxation of Financial & Banking Transactions
  • Financial Risk Management


Advanced Topics

  • Business Valuation
  • Digital Banking
  • International Finance
  • Insurance & Actuarial Techniques
  • Investment & Financing Decisions
  • Islamic Finance


Admissions Information

  • Open to candidates with a bachelor’s degree in Economics, Management, or Business Sciences (SEGC).
  • Proficiency in French is mandatory.
  • Proficiency in English is an asset.


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