Master of science

Master of Science Digital and sustainable finance

Learning outcomes

This program develops a dual skill set in financial markets and information systems, with a focus on digital innovation and sustainable finance. It covers financial markets, derivatives, risk management and data processing, while incorporating the use of emerging technologies such as AI and data analytics in financial contexts. It also prepares graduates to work effectively with technical teams and business stakeholders in driving digital transformation within the financial sector. 

Financial Markets & Information Systems: Digital Finance, Risk & Analytics

After a first semester focused on core courses in management, digital intelligence and business fundamentals, students progress to advanced topics in financial markets and information systems, combining structured finance, quantitative methods and risk management with digital finance, Python, business intelligence and cybersecurity to address the evolving challenges of the financial sector. 

In the final semester, students complete an internship in France or abroad, applying their skills in a professional environment and facilitating their transition into the working world. 

Typical roles after graduation

  • Functional
  • Consultant Business Owner & Business Analyst (MOA/AMOA)
  • Financial Applications Specialist
  • Investment Banking Project Manager
  • Support Operations & Trading Assistant
  • Private Equity Analyst
  • Software Design & Development Engineer
  • IT Quantitative Analyst
  • Risk Analyst
  • Asset Manager