Master in international
Finance
Rabat, Morocco
English
2 years (Full-time)
Next Intake: October
Internship: 4–6 months
International Mobility & Double Degree : Available
Programme Overview
The Master in International Finance at Rabat Business School is designed to train responsible, innovative, and globally minded finance professionals equipped to operate in complex and fast-evolving financial markets.
The program develops strong analytical, valuation, and decision-making skills, enabling students to assess financial performance, evaluate business value, and design sound investment strategies. With a strong alignment to CFA Level I competencies, extensive use of professional financial tools, and exposure to international competitions, the program prepares graduates for leadership roles in global finance and financial services.
Double degrees
GRADUATE TESTIMONIALS
• CFA-Oriented Curriculum : Strong alignment with CFA Level I competencies
• Hands-On Financial Training : Bloomberg terminals, trading simulations, and global competitions
• International Perspective : Global finance, FX markets, and international exposure
• Career-Focused Design : Internships, coaching, and direct links to financial institutions
• High Employability : Skills aligned with investment banking, asset management, and risk roles
1. Master Financial Markets & Investment Analysis
Students gain a deep understanding of global financial markets, asset valuation, and portfolio construction.
Key Courses:
• Financial Markets & Equity Evaluation
• Portfolio Management
• Fixed Income Markets
• Alternative Investments (including Islamic Finance)
2. Build Strong Corporate Finance & Risk Expertise
A solid foundation in corporate finance, derivatives, and financial risk management aligned with international standards.
Key Courses:
• Advanced Corporate Finance
• Derivatives & Hedging Strategies
• Financial Risk Management & Modeling
• Financial Economics (including FX & monetary policy)
3. Leverage Data, Technology & Quantitative Tools
Students develop advanced quantitative and technological skills essential for modern finance.
Key Courses:
• Financial Econometrics (R-based)
• Data Analysis in Finance
• VBA & Python for Finance
• Management Information Systems & ERP
4. Trade, Simulate & Apply Finance in Real Conditions
Hands-on exposure to professional financial environments through simulations and applied learning.
Highlights:
• Bloomberg Trading & Market Simulations
• Bloomberg Market Concepts (BMC) Certifications
• ESG & Spreadsheet Analysis Certifications
• Participation in global competitions (Bloomberg Trading Challenge, LSEG Workspace Competition)
The Master in International Finance combines academic rigor with strong professional immersion:
• Simulation games and real-market trading exercises
• Intensive use of Bloomberg Terminals
• Company visits and applied financial case studies
• CFA-oriented teaching approach
• Guest lectures and masterclasses led by industry professionals
Career preparation is fully embedded within the program.
Key Components:
• Structured CFA Level I coaching
• 4- to 6-month mandatory internship supported by dedicated career services
• Master’s Thesis combining academic rigor and real-world relevance
• Professional coaching and career orientation workshops
• International exchange and double-degree opportunities with partner institutions
Graduates of the Master in International Finance are prepared for demanding roles in finance and financial markets such as:
• Financial Analyst
• Risk Manager
• Trader
• Portfolio Manager
• Investment Analyst
• Corporate Finance Associate
Graduates may also pursue doctoral studies or advanced professional certifications.
Top Industries:
• Banking & Financial Services
• Asset & Wealth Management
• Investment & Trading Firms
• Consulting
• FinTech