FinTech and Financial Analysis

Description

The “FinTech and Financial Analysis” (English-taught) Master’s program provides a dynamic academic environment at the intersection of finance, technology, and data analytics. The curriculum is designed to equip students with advanced competencies in financial data analysis, digital banking, blockchain technologies, risk management, and investment decision-making. Special emphasis is placed on the integration of financial modeling tools, to support data-driven decision-making and innovative financial solutions. A comprehensive understanding of global financial markets, sustainable finance, and digital transformation further strengthens graduates’ ability to operate in an increasingly complex financial landscape. Graduates are prepared for international career opportunities in banking, fintech companies, investment firms, and financial consultancy. The program offered by The Faculty of Economic Sciences and Law supports the development of professionals ready to contribute to the evolution of modern finance.

Other Information

The learning outcomes are aligned with the qualification level 2412.5 – Financial Risk Manager, ensuring graduates acquire the necessary competencies for identifying, assessing, and managing financial risks within complex and dynamic economic environments.