The final decision regarding your Master of Finance admission will be based on a combination of undergraduate grades, English language abilities, admission test results, and interview performance. Sie werden auf eine Bürotätigkeit, speziell im Rechnungswesen und der Finanzbuchhaltung, vorbereitet. View Kevin Bennett’s profile on LinkedIn, the world's largest professional community. This module introduces you to the fundamental tools of modern corporate finance and asset valuation. Stellv. Candidates applying for this specialisation may be awarded a scholarship covering up to two semester fees. Frankfurt University of Applied Sciences. … Only three of twelve German universities had qualified for the German finals. Click on “Understood and continue” to accept the cookies or click on “Settings” to choose your personal cookie settings. you can quantify yield curve risk, apply interest rate derivatives and structured products to manage risks, analyze complex structured products and assess their modeling requirements. Focus is also put on the supervisory process of the ECB. Abteilung ControllingTheodor-W.-Adorno-Platz 160629 Frankfurt am Main, Marie-Theres Buths-DietrichT 069/798-12432E MT.Dietrich@em.uni-frankfurt.de, Akademisches ControllingTheodor-W.-Adorno-Platz 160629 Frankfurt am Main, Jens SirT 069/798-12453E sir@pvw.uni-frankfurt.de, Bereich Finanzen & ControllingBesucheradresseCampus Westend | PA-GebäudeTheodor-W.-Adorno-Platz 160323 Frankfurt am Main, Postadresse60629 Frankfurt am MainGebäude: PAFinanzen und Steuern: 3. 16 December: Information for employees: (Work organisation: on site, remote or from home) 15 December: Information for employees, General information 1 December: Information for employees, General information (Mouth-and-nose coverings) and 18 November: Update on Events (Information for employees and General information) 17 November: Information for employees (Home quarantine / … *In order to secure the Early bird discount you must have received an admission letter by 31 March, **In order to secure the discount you must have received an admission letter by 30 June. 1 0. Mean-variance portfolio choice is also introduced and includes an in-depth look into the Capital Asset Pricing Model (CAPM) and the efficient market hypothesis. français, ru The application portal will open on 11 May 2020. this year's guest lecturers in the International Portfolio Management course include Dr. Yuliya Plyakha (Consultant @MSCI Barra), Brian Tomlinson (Director Portfolio Management @Allianz Global Investors), Dr. Stefan Junglen (Head of Fiduciary Risk @Deutsche Asset Management Sehen Sie sich das Profil von Ekaterina Pichurova auf LinkedIn an, dem weltweit größten beruflichen Netzwerk. You will receive instructions for submitting your deposit payment after you have sent us your signed contract of study. Students will focus on understanding the use of derivative products, gaining a theoretical understanding of forwards and options, learn to analyse and calculate hedges and how to implement these with Excel. Recruitment Officer Timo Kerzel is Co-Founder of TELANTO - the digital platform to engage and scale university-industry collaboration, counting on a +20 year track record in global marketing, business development and business management in various companies including SAP. IE Business School and Frankfurt School have signed a strategic agreement to launch joint finance education initiatives. Each concentration has a set curriculum of core modules to be completed. The course introduces you to the characteristics of various equity securities and discusses the risks and rewards associated with them. Check out where our Master alumni are working! Students typically attend classes three days a week, either on Mondays, Tuesdays and Saturdays or on Thursdays, Fridays and Saturdays. Your degree is an investment in your professional future. +49 (0)69 6301 5631 sab.schulz@med.uni-frankfurt.de. Applications received before the end of November and March will benefit from our early bird discounts of 4000 EUR and 2000 EUR respectively. Internes Rechnungswesen. This module is taught by a professional who uses previous case studies from their professional experience in Investment Banking. These include stocks, bonds and derivatives including swaps, FRAs, futures, options and credit derivatives. Finde Deinen Job mit der Jobsuche der Jobbörse von stellenanzeigen.de. The second part is a consulting challenge: You will learn about a real business case by one of our corporate partners. Bereichsleitung)Michael MüllerT 069/798-18768E Mueller@verwaltung.uni-frankfurt.de, Referent Beteiligungs- und VermögensmanagementChristian TrillhaasT 069/798-13814E trillhaas@em.uni-frankfurt.de, Assistenz des BereichsleitersUte WicheT 069/798-12461E wiche@em.uni-frankfurt.de, © 2004-2021 Goethe-Universität Frankfurt am Main |, Goethe Research Academy for Early Career Researchers, Die Abteilung ist verantwortlich für die Einführung. This includes scholarships for the CAIA exam – Level I and Level II, access to the Center for International Securities and Derivatives Markets (CISDM) Hedge Fund Database as well as to publications of the CAIA Association. This module allows you to become familiar with the possibilities of computing and analysing in the area of big data. The module explains the process involved in acquiring subsidiaries into parent companies, applies the accounting concept of goodwill and its treatment in subsequent reporting periods, and covers the financial reporting effects of investments in joint ventures. This course deals with the economic role of different financial institutions and analyses how financial innovations change banks’ business models and how they change the interplay between banks and other financial institutions, in particular shadow banks and FinTechs. Fuller, experts in industrial adhesives, industrial coatings, industrial sealants and specialty materials in two dozen markets. equity and debt markets, as well as in compensation contracts. Doctoral Programme in Accounting, Finance and Management, M&A Glossar Lexikon für Mergers and Acquisitions, Frankfurt School COVID-19 Crisis Response Technical Assistance for SMEs & Financial Institutions, Entrepreneurship@FS Innovative Solutions for a Changing Market, Final Application and Scholarship Deadline, Bureau van Dijk Electronic Publishing GmbH, International and Commercial Bank of China, Alternative Investments / Sustainable Finance, Member of CFA University Affiliation Program, International class with students from 34 nationalities, Access to high-profile practitioners from the corporate world, Extensive network of cooperating companies, universities and, First university degree (Bachelor or Diploma) of at least 180 ECTS credits, irrelevant of discipline, Excellent written and spoken English (TOEFL - 90 iBT, 577, Ranked Top 20 worldwide for Career Services, Rapid expansion in the velocity, variety and volume of financial data, Frankfurt School offers its students the opportunity to develop expertise in data analytics, Prerequisites: Basic understanding of programming and data analysis with Python, Related electives in Semester 4 (Blockchain, Artificial Intelligence etc. Sie erhalten das Fachwissen, um mit Themen der Finanzbuchhaltung sicher umzugehen und alltägliche Aufgaben des Rechnungswesens routiniert erledigen zu können. However, German classes are provided for all non-German speaking students throughout the duration of the programme. Our exclusive corporate connections and strong Alumni network allow you to build a professional network crucial for developing your international career. In addition to mandatory assignments students can take over 100+ courses by expert instructors on topics such as importing data, data visualization or machine learning and learn faster through immediate and personalised feedback on every exercise. Key Account Manager m/w General Information. Leitung Personalverwaltung: Sabine Schulz Tel. Applicants interested in a scholarship must complete the relevant section within their online application. They further cover a large part of the FRM® Part II examination. In 2021, Frankfurt School was ranked second overall in Germany by Eduniversal, as one of three German business schools having a strong global influence. The combination of practical learning methods and ability to work part-time ensures our Master of Finance students are able to secure jobs in a variety of companies and industries by the time they graduate. BMC consists of 5 modules - Economic Indicators, Currencies, Fixed Income, Equities, and Getting Started on the Terminal - woven together from Bloomberg data, news, analytics and television. Students further gain an understanding on managerial incentives in external reporting and in the resulting need to critically evaluate such reports from an outsider perspective, including empirical assessments of accounting quality and approaches for detecting earnings management. Physically practicing methods of ethical expression that are demonstrated in the Giving Voice to Values and Values Education curriculums, prepares you for the real working world. The module provides a profound introduction to credit risk in general: from a portfolio perspective to single name default risks. Frankfurt School is one of the best European Business Schools. Overall you are able to use tools which measure financial reporting quality and evaluate how it affects decision-making on e.g. This gives you the chance to immerse yourself in a new environment that prepares you for a global career. We call this the “3-day Model”. Das Kevelaerer Blatt, genannt „Kävels Bläche“, ist die älteste lokale Wochenzeitung in Deutschland. The first introduces the consulting business and provides practical knowledge such as how to successfully pitch and manage projects. The module provides a profound introduction to credit risk in general: from a portfolio perspective to single name default risks. The second part is devoted to other financial intermediaries. It also discusses the use of credit derivatives for credit risk management, including pricing and understanding market quotes for credit derivatives. You are able to apply advanced knowledge for assessing interest rate risk, i.e. Our Master of Finance concentrations are designed to provide specialised knowledge and skills focused on specific areas of capital markets, corporate finance, risk management and financial advisory. In the first part it focus on traditional banks and discuss frictions in financial markets that allows banks to add value as an intermediary. In preparation for their Master’s thesis, students participate in a Research Methods workshop, introducing them to both qualitative and quantitative research methods. Invest in your international career development by leveraging on the opportunities and business networks offered by the city of Frankfurt. Der Bereich Finanzen unterstützt ein professionelles Finanz- und Ressourcenmanagement für die gesamte Goethe-Universität. You have to enable javascript in your browser to use an application built with Vaadin. FIRM is supporting our Master of Finance students with a number of generous scholarships. The Master of Finance follows a unique time model that permits you to work part-time whilst pursuing your full-time Master’s degree. The module aims for you to understand the difference between randomness and systematic skill, especially in the context of financial and economic management. In this module you gain a thorough understanding of interest rate products and interest rate models. The website would not function properly without these cookies. Graduates will draw upon expert knowledge and broad, detailed and critical understanding of specifics, limitations and doctrines in different areas of finance to shape responses and independent ideas to business and research opportunities and challenges. Electives are taught not only by in-house faculty, but also by leading international practitioners, providing you with the tools to meet your personal aspirations. Our websites use various cookies with different functions. Is the capstone module of this concentration and its divided into two parts. Schriftgröße Sie können die Seite mithilfe Ihres Browsers größer oder kleiner anzeigen lassen. Credit Risk, Default Models & Credit Derivatives. The occasion was the publication of the study Winning Frankfurt: Brexit Bankers Bring More Welfare To Frankfurt […] The techniques consist of preparing pro-forma financial statements, forecasting of free cash flows, application of valuation models, and understanding market-multiple valuation approaches. Please enable it to continue. "Finanzbuchhaltung" sowie der "Debitoren-, Kreditoren- und Anlagenbuchhaltung". Beginning with grasping a thorough understanding of computers as a tool in the area of big data (i.e. This module focuses on the valuation of equity securities. The class also contributes to acquiring theoretical knowledge and practical applications about how financial and non-financial information is used in strategic and operational decision-making in turnarounds. Students should submit their application for waiver to programme management by deadlines provided during the course of studies. Functional cookies support the usability of the Frankfurt School website and enable, for example, the basic functions of the website such as log-in, page navigation and saving of the products during your session. Our Careers Services team will support you with individual consultations on career development that are based on your interest and career goals. Offizielle Facebook-Seite der Universität Hamburg | Impressum: uhh.de/impressum You will be asked to develop a proposal under time constraints and pitch the idea to the senior managers at the end. Finanzbuchhaltung Wir kümmern uns um die zahlenmäßige Erfassung, Auswertung und Darstellung aller relevanten ... Gabriele.Ansoul@em.uni‐ frankfurt.de Oliver The annual global competition provides university students with hands-on mentoring and intensive training in financial analysis, testing analytics, valuation, report writing and presentation skills. All the big names of the German and international banking sector are represented in Frankfurt. Concepts studied include probability, probability distributions, confidence intervals and regression analysis. Thanks to its location in the Rhine-Main science region, the university can unfold to its full potential and showcase its innovative power and dynamism. They will understand and reflect on the ethical and societal implications of their recommendations and business decisions. klaes@em.uni-frankfurt.de. The first step of our application process is to complete the online application form. It emphasizes the role of financial statement data in equity valuation, using advanced cases from and around actual financial statements. Please visit our page to find out more! Each student is required to conduct independent research in order to complete their Master’s thesis. Please contact us for more information. As a business school of international standing, we not only offer you ideal conditions for gaining / obtaining a degree – we also offer you excellent career prospects. This module covers an extensive discussion of the theoretical and computational tools used in the portfolio analysis and in risk management. *You must have recieved an admission letter by 31 March and 30 June respectively. Graduates will have developed a professional identity within the financial sector. Take a look at some more here. Berufserfahrung, Kontaktdaten, Portfolio und weitere Infos: Erfahr mehr – oder kontaktier Olga Kistner direkt bei XING. Teilen. It emphasizes the role of financial statement data in equity valuation, using advanced cases from and around actual financial statements. This module focuses on corporate governance, corporate investment decisions, corporate financing, and payout policy. maassen@europa-uni.de . The five faculties cover the entire spectrum of modern academic disciplines – from humanities, social sciences and theology to medicine, law, economics, sciences and engineering. Theoretical lectures are supported by group home assignments in which you will apply the theory to a number of real portfolio analysis problems. This module gives you the ability to value and apply the most important financial instruments in different contexts. Frankfurt School´s Master of Finance is a member of the CFA Institute University Affiliation Programme. 23,056 were here. The module covers the fundamentals of risk processes and governance, the concept of capital coverage, integrated performance as well as the risk categories. They will be responsible team members and reach common goals by effective cooperation within a team. Applications are considered on a rolling basis, therefore we encourage you to apply as early as possible. Lianna Mirzoyan English, es This status is granted to institutions whose degree programme(s) incorporate at least 70% of the CFA Programme Candidate Body of Knowledge (CBOK), thus providing students with a solid grounding in the CBOK and thoroughly preparing them for the CFA exams. Wir beraten Sie über den Vorgang vonvergaberechtlichen Verfahren. You will need to upload the following supporting documents: Each of the documents listed above are required for completing your application. The course concludes with a discussion of credit analysis, i.e., the evaluation of a firm’s creditworthiness based on their financial reports, and some insights into forecasting (pro-forma) financial statement for equity analysis, business development, consulting, etc. Auf LinkedIn können Sie sich das vollständige Profil ansehen und mehr über die Kontakte von Parastu Madani und Jobs bei ähnlichen Unternehmen erfahren. Restructuring & Strategic Management Control. Frankfurt SchoolAdickesallee 32-3460322 Frankfurt am Main, en We also offer several other ways to get in touch with us such as class visits, fairs outside of Frankfurt and personal consultations. Frankfurt School offers a suite of internationally accredited and ranked MBA and EMBA programmes catering to the needs of professionals at every level of management. Students will need to submit their waiver application to programme management by the deadlines provided during the course of studies. Student Insights: When Machines Talk / Approaching Digital Strategy. Here we will first discuss the shadow banking sector in general. Die Universität Bonn zählt zu den bedeutendsten Universitäten Deutschlands und wurde als Exzellenz­uni­ver­si­tät ausgezeichnet. ), Certified copy of your undergraduate transcript of records and degree award certificate, Other documentation supporting professional experience or other extracurricular activities, if applicable, Super Early bird deadline (4,000 € discount): 31 May 2020, Early bird deadline (2,000 € discount): 30 September 2020. Reply on Twitter 1341725290586894336 Retweet on Twitter 1341725290586894336 2 Like on Twitter 1341725290586894336 1 Twitter 1341725290586894336. Further information available here. You will learn to apply your fully-formed and creditable values to the workplace. Akademisches Jahr. The purpose of the interview is to gain a better understanding of your character, personality, expectations, motivations and goals. This along with our regular guest lectures and company visits, plus the opportunity to work part-time throughout your full-time studies, leaves you in the spotlight for employment after graduation. We cover key insights of behavioral ethics and work in groups to distinguish what helps and hinders ethical expression. On 1 February 2021, Urs Fueglistaller will replace Prof. Dr. Dr. h.c. Monika Bütler as Vice-President for Institutes & Executive Education. In der Finanzbuchhaltung müssen viele praktische Aspekte berücksichtigt werden. Classes, including Financial Products & Modelling, will take place in the Finance Lab during your 1st semester and will be accessible throughout your time on campus. We will discuss how to make inferences about strategic and operating business decisions using ratio analyses, highlighting how managerial decisions have direct consequences in financial reports. Mitarbeiter Finanzbuchhaltung Jobs in Eschborn - Eine Riesenauswahl an Mitarbeiter Finanzbuchhaltung Stellenangeboten in Eschborn finden Sie bei uns. Johannes Gutenberg University Mainz (JGU) is one of the largest universities in Germany. Leitung Materialwirtschaft: Philipp Hoffmeier Tel. This demonstrates that our students acquire the skills and techniques required by the global risk management profession. Every year the university manages to get into the top 5% of the best world universities. Data Analytics & Machine Learning in Finance. All students are expected to be at Frankfurt School on this day. Emphasis is placed on the development of problem-solving skills, based on a good understanding of the business environment. You will learn how to apply the present value rule and no-arbitrage arguments to value stocks, bonds and plain-vanilla derivatives. The techniques used consist of preparing pro-forma financial statements, forecasting of free cash flows, application of valuation models, and understanding market-multiples valuation approaches. Our programmes are offered both full and part-time and follow the participant-centered learning approach developed by … Please visit our page to find out more! This and other questions were discussed by journalists with representatives of WHU, company Frankfurt Economic Development, and Frankfurt Main Finance. They will recognise and respect the personal and cultural differences in an international business environment. It is not an application fee. Wiederholen Sie in unserem Praktische Finanzbuchhaltung Seminar die wichtigsten Buchungen. Some lectures or excursions are organised as blocked week events. Take a look at some of their career paths. Architecture (B.A.) Study abroad option: You have the option to use the credits from your electives in semester 4 to study abroad. This module focuses on external financial reporting, including principles of financial statement preparation, their interpretation and evaluation. Mandy Kolm Haushalt Logenstraße 4 15230 Frankfurt (Oder) AM 227 ... Finanzbuchhaltung/Steuern Logenstraße 4 15230 Frankfurt (Oder) AM 218 ☏ +49 335 5534 4228 neumann@europa-uni.de . Frankfurt School is a research-led business school, covering every aspect of business, management, banking and finance. Frankfurt School partners with 80+ universities worldwide that are primarily focused on business and management and giving our students the opportunity to gain comparative view points, diverse cultural and study environments and to widen their international network. Our Master of Finance programme combines a structured approach and gives our students the flexibility to set their own focus by specialising in one of four concentrations. The course will enable you to design corporate governance structures, make educated investment and financial decisions, and evaluate corporate financial decisions. 2018/2019. Up to two elective modules may be waived for Master of Finance students who have passed the CFA Level I exam and/or are selected to participate in the CFA Research Challenge.