• Formation LMD

Master (M1) Finance

Informations générales

Niveau de recrutement
Bac + 3
Durée de la formation
1 an
Lieu(x) de formation
Toulouse (campus UT1)
Stages
Oui
(Stage obligatoire)
Diplôme national
Diplôme national de Master controlé par l'état
Accessible en
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Langues d'enseignement
Anglais
Et après ?
Présentation

 

Code RNCP : 32159

The curriculum offers a rigorous training programme, covering the foundations of finance during the first year and offering students the option to specialise in one of three fields during the second year (Corporate FinanceFinancial Markets and Risk Evaluation, Finance and Information Technology). It also offers the opportunity to get a double degree with our partner HEC Liège (Master 2 Corporate Finance - double degree HEC Liège, Master 2 Financial Market and Risk Evaluation - double degree HEC Liège).

This first year of the Master in Finance allows students to build a strong conceptual framework in order to analyse financial issues. The second year of the programme builds on this by developing practical applications.

At the end of the first year, students will undertake a compulsory internship in a company during 2 to 5 months.
At the end of the second year, a 6-month internship is mandatory.

Responsables pédagogiques

Objectifs

 
By the end of the Master in Finance, students will be able to:
  • Know basic institutional and regulatory framework of finance in organisations and markets ;
  • Understand the conceptual foundations and analytical methods in finance ;
  • Apply analytical methods in finance to solve practical problems encountered by corporations, financial institutions and markets ;
  • Critically assess the drivers of contemporary financial issues ;
  • Incorporate ethical dimension and implications for sustainability in financial decisions ;
  • Communicate effectively in oral and written form ;
  • Solve complex problems.

Stages

Les étudiants de première année doivent effectuer un stage de 2 à 5 mois, en France ou à l’étranger.

Admission

Publics

Niveau de recrutement : Bac + 3


Conditions d'accès

Prerequisites applicable to all candidates

→ Successful completion of 180 ECTS

→ An English language test for non-English speakers (B2 required). List of the English language certificates accepted hereStudents having completed at least two years of full time university studies (at Bachelor or Master level) in English are exempted.

→ Examination of candidate’s application and possible interview

admission

Applications:

  • Round 1: from 1 December 2020 to 8 January 2021
  • Round 2: from 22 February to 26 March 2021

More information:
 www.tsm-education.fr

Programme


The programme is taught entirely in English.


SEMESTER 1

UE 01 - Foundations of asset pricing
UE 02 - Introduction to corporate valuation
UE 03 - Mathematics for finance and insurance:
             . Optimization for finance and insurance
             . Probability for finance and insurance  
UE 04 - Business economics
UE 05 - Introduction to financial accounting and reporting
UE 06 - Initiation to research

SEMESTER 2

UE 07 - Financial markets:
            . Introduction to derivatives
            . Organization of financial markets and fixed income
UE 08 - Principles of corporate finance
UE 09 - Econometrics
UE 10 - Introduction to information technology for finance:
            . Programming for finance
            . Excel for finance
            . Databases
UE 11 - Group project
UE 12 - Professional development workshop (PPI)
UE 13 - Internship

Insertion
Année post-bac de sortie
Bac + 4

Métiers visés

Our graduates are highly sought after by French and international recruiters, such as banks, consultancies, large multinationals and asset management firms, among others.

Poursuites d'études

Following the first year, the second year of the Master in Finance (M2) offers students various training paths:

Students who wish to do a double degree must apply during their M1 in Finance at TSM.

Contacts