Become an expert in data science for the financial sector
The Master of Science Finance & Big Data trains specialised data scientists in order to meet the needs of the financial sector. After earning the MSc Finance & Big Data, our graduates will be prepared to put into practice their technical skills in big data processing, applied to market forecasts, portfolio allocation, market/credit risk management and operational risk. They will have access to data scientist positions in Front office and Middle Office teams for company divisions that handle trading, risk-management, IT, investment bank compliance divisions, funds management and insurance companies as well as specialised financial consulting firms.
5 good reasons to enter the MSc Finance & Big Data
A promising and expanding market: the financial, banking, insurance and consulting sectors have a major need for data scientists
An innovative training course in direct contact with the latest developments in data science applied in the financial sector and its related branches that will help learners become real specialists who are immediately effective.
A teaching approach based on learning by doing: trading room simulations, project management, direct skills application…
Training provided by professionals in finance and data science as well as research professors
A programme compatible with professional activity (internship, company assignment, etc.)