Move to the next level: advanced specialization for an elite career in finance.
In a globalized and highly competitive economic environment, a bachelor’s degree is just the beginning. The master’s programs at FABBV are designed to transform graduates into experts.
Our educational offer deepens the key concepts in Finance, Insurance and Capital Markets, with a major emphasis on case studies, strategic analysis and applied research. Whether you are aiming for a top management position, a career in consulting or entrepreneurship, a master’s degree is the bridge to professional excellence.
Why choose a Master’s at FABBV?
🎓 Connection to the labor market: Curricula adapted to the requirements of top employers and partnerships with major financial institutions.
🌐 International Perspectives: Dedicated programs in English and mobility opportunities.
🤝🏻 Networking: Access to a community of professionals and alumni active in key positions.
Central banks and financial institutions (BANCAS)
With over two decades of experience, the BANCAS master’s program has reinvented itself through a strategic partnership with the National Bank of Romania. We offer an applied learning perspective that combines the academic rigor of ASE professors with the practical expertise of specialists from the NBR and top commercial banks (BCR, Raiffeisen, Eximbank, etc.). We train experts in the field, ready to perform in credit and insurance institutions from the moment of graduation.
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Finance and Banking – DOFIN
An elite program dedicated to training specialists capable of solving complex financial problems through quantitative-qualitative analysis and advanced econometric techniques. DOFIN is distinguished by its membership in the CFA Institute University Affiliation Program, ensuring a curriculum aligned with the highest standards in the investment industry. Its international character is validated at the end of studies, with the dissertation defended before a joint committee composed of Romanian experts and professors from partner universities abroad.
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Taxation – Expertise in fiscal policy and taxation procedures.
This program is dedicated to training experts capable of managing the complexity of the current tax environment. The curriculum, aligned with the demands of the real economy, develops essential competencies for a solid career in consulting, accounting or tax inspection. Graduates become highly qualified specialists, prepared to correctly interpret legislation and make well-founded strategic decisions, making them a valuable asset to both the private sector and public institutions.
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Corporate Finance – Value management and financial strategies for companies.
Dedicated to training elite professionals in the financial management of companies and capital market institutions. The program combines academic rigor with a strong practical orientation, developing essential competencies in financial-fiscal analysis, asset valuation and strategic decision-making. A major competitive advantage is the ACCA accreditation (F9 – Financial Management), which validates the quality of studies and gives graduates an accelerated start towards a prestigious international certification.
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Financial management and investment (MFI)
The MFI program is a benchmark in the training of financial analysts and top consultants. The curriculum is built to provide complex expertise in corporate management, business valuation and investment portfolio management. The program’s major differentiator is its pragmatic orientation: academic rigor is complemented by the experience of practitioners from ANEVAR, CFA Romania and CECCAR, ensuring a direct connection to current capital market and consulting standards.
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Actuarial Techniques (TACT)
A unique program, developed in partnership with the Financial Studies Institute and the Romanian Actuarial Association (ARA), which aligns student preparation with the highest standards of the International Actuarial Association. The program’s key strength is IFoA (Institute and Faculty of Actuaries) recognition, which allows the equivalence of 3 British Core package exams, giving graduates an enormous competitive advantage internationally. Recognized by the FSA and supported by top professors and practitioners, the program guarantees an exceptional employment rate in the insurance and private pensions industry.
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Master of Applied Finance (MAF)
A visionary program, designed to respond to the new paradigm of the digital economy. MAF combines traditional investment analysis with technological innovations, offering a challenging and applied learning experience. The curriculum is built on four fundamental pillars of expertise: Risk and Portfolio Management (real market analysis), FinTech & Data Management (AI, Big Data, financial algorithms), Behavioral Finance and Professional Ethics. Graduates of this program are prepared to provide modern, integrated and sustainable financial solutions in a globalized business environment.
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