MASTER’S DEGREE 
IN BANKING AND FINANCIAL REGULATION

The world of finance changes every day.
Don't get left behind.

It is a program which content has been defined along with the Financial Sector (Banks, regulators, consultancy companies, etc.), with top-notch teachers (executives across the Financial Sector) and with professional development in the main financial institutions (public and private).

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CURRICULUM

  • Digitalization and Banking
  • Advanced Banking Accountancy
  • Corporate Finance and Risk Management
  • Advanced Internal Models
  • Economic Environment
  • Financial Ethics and Corporate Social Responsibility
  • Financial Regulation
  • Data Analytics
  • Professional Internship
  • Final Project

Do you have any questions about the Master?

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Official Specializing Degree

At the end of the program you will obtain an official degree awarded by the University of Navarra and recognized by the National Agency for Quality Assessment and Accreditation (ANECA).

Nº1

We want to get to know you throughout the admissions process. Take the time to complete your application, pay attention to deadlines and dates, and come to us whenever you need to.

Campus Madrid
C/ Marquesado de Sta. Marta, 3
28022 Madrid España
Tel. +34 914 514 341 | fvalderrabano@unav.es 

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The University of Navarra, number 1 in Spain in the QS 2020 Employability Ranking

We are the first University in Spain and the third in Europe in terms of teaching according to the Times Higher Education ranking.


International exchange weeks

Exchange

World-class faculty and 100% employability

100%

FINANCING / COST STUDY AND SCHOLARSHIPS / GRANTS

Our price calculator estimates the personalized tuition of the master's degrees offered by the University of Navarra for the 2022/2023 academic year. It also provides information on financial aid offered by the University and other organizations.

FACULTY

Advanced Internal models
Enterprise Model Risk Management. Bank of America

GIORGIO BOCCHI

PROSPECTIVE STUDENTS

Degree holders in the Exact Sciences, Physical Sciences, Economics, Business Administration, Engineering or equivalent areas. Students who want to work for the central departments of financial institutions or who are interested in developing their career in risk departments, financial consulting firms, fund management companies or the financial departments of large companies. Because all subjects are taught in English, students must provide proof of a good command of English.

JAIME CARUANA

Financial Regulation
Board Member. BBVA

DANIEL GIAMOURIDIS

Data Analytics
Global Head of Scientific Implementation. Bank of America

VÍTOR CONSTÂNCIO

Economic Environment
Ex-Vicepresident at the European Central Bank

GERMÁN LÓPEZ

Advanced Banked Accountancy
Academic Director

ROCÍO FALCONES

Corporate Finance and Risk Management
Senior Director at Alvarez & Marsal

Program Manager

Asís Valderrábano

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Modality
In person

Duration
8 months +
Professional Internship

Campus
Madrid

Format
Full Time

Start
September
2022