About Course
The Professional Master's in Corporate Finance and Markets is a high-level degree aimed at training finance professionals and managing financial markets. This program provides students with a solid general education in finance and financial market management, as well as a deep understanding of fundamental principles and methods applied to financial analysis and decision-making. Students will acquire advanced skills in financial analysis, investment evaluation, financial risk management, portfolio management, and derivatives. They will also learn to manage portfolios, manage risks, and conduct operations in financial markets.
The training objectives are to prepare professionals who can use their knowledge and skills in finance and financial market management to help companies make more effective decisions. Students will also be able to develop skills in financial analysis and decision-making, as well as use their skills to successfully carry out financial projects.
The career opportunities from this training are varied and include positions in banks, investment funds, brokerage firms, and investment companies. Graduates may also seek positions related to finance, such as risk management, financial analysis and research, portfolio and derivatives management, and investment management.


