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Masters in Financial Analysis

CFA Integration Bloomberg Certified 12 Months

Specialized programme for aspiring financial analysts and investment professionals. Master financial modeling, valuation techniques, and portfolio management with integrated CFA Level I preparation and Bloomberg Terminal certification.

Duration 12 Months Full-time
CFA Prep Level I Included
Location Madrid, Spain
Language English
Investment €26,000
Class Size 35 Students

Professional Financial Tools & Technology

Master industry-standard platforms and earn professional certifications that set you apart in the financial services industry.

Bloomberg Terminal

Master the Bloomberg Professional Service platform used by financial professionals worldwide for market data, analytics, and trading.

Bloomberg Market Concepts Certified

Financial Modeling

Build sophisticated financial models using Excel, Python, and R for valuation, forecasting, and risk assessment.

Advanced Excel Certified

FactSet & Refinitiv

Gain hands-on experience with leading financial data platforms for research, portfolio analysis, and market intelligence.

FactSet Certified

Risk Management Tools

Learn Monte Carlo simulations, VaR calculations, and stress testing using specialized risk management software.

Risk Analytics Certified

Launch Your Finance Career

The Masters in Financial Analysis is designed for ambitious graduates who want to build a successful career in investment banking, asset management, corporate finance, or financial consulting.

Our programme combines rigorous academic training with practical application, ensuring you graduate with the skills and credentials needed to excel in today's competitive financial services industry.

  • CFA Level I preparation fully integrated into curriculum
  • Bloomberg Terminal certification and hands-on training
  • Financial modeling using Excel, Python, and R
  • Real portfolio management simulation
  • Industry mentorship from finance professionals
  • Guaranteed internship placement with financial firms
94% Job Placement Rate
€58k Average Starting Salary
85% Pass CFA Level I
150+ Industry Partners

CFA Institute University Recognition Programme

IEAF is part of the CFA Institute University Recognition Programme, which means our curriculum is closely aligned with the CFA Programme Candidate Body of Knowledge and covers at least 70% of the CFA Program Candidate Body of Knowledge.

Students in our Masters in Financial Analysis programme receive comprehensive preparation for the CFA Level I exam, significantly increasing their chances of success in this prestigious professional certification.

  • CFA Level I exam preparation fully integrated
  • Access to CFA Institute learning resources
  • Mock exams and practice questions
  • Dedicated CFA prep workshops
  • 85% first-time pass rate for our students
  • CFA charter holder faculty instruction

Career Outcomes

Our graduates secure positions at leading financial institutions, consulting firms, and corporations worldwide.

Investment Banking

Financial modeling, valuation analysis, and deal execution at top-tier investment banks.

€55k - €75k
Asset Management

Portfolio analysis, risk management, and investment research at fund management companies.

€50k - €70k
Corporate Finance

Financial planning, capital structure optimization, and M&A analysis at multinational corporations.

€45k - €65k
Financial Consulting

Strategic advisory and financial transformation projects at leading consulting firms.

€60k - €80k
Risk Management

Credit risk, market risk, and operational risk analysis at banks and financial institutions.

€50k - €70k
Equity Research

Company analysis, financial modeling, and investment recommendations at research firms.

€48k - €68k

Curriculum Overview

A comprehensive curriculum designed to build your expertise in financial analysis, valuation, and investment management.

Semester 1
Foundations of Finance
  • Financial Accounting & Statement Analysis
  • Corporate Finance Fundamentals
  • Quantitative Methods for Finance
  • Economics for Financial Markets
  • Financial Markets & Institutions
  • Bloomberg Terminal Training
Semester 2
Advanced Analysis
  • Advanced Financial Modeling
  • Investment Analysis & Portfolio Management
  • Derivatives & Risk Management
  • Equity Valuation Methods
  • Fixed Income Securities
  • CFA Level I Preparation
Semester 3
Professional Application
  • Industry Internship (3 months)
  • Portfolio Management Simulation
  • Alternative Investments
  • Behavioral Finance
  • Professional Ethics
  • Capstone Research Project

Admissions Requirements

We seek motivated students with strong analytical skills and a passion for financial markets.

Academic Requirements

  • Bachelor's degree with strong academic record (3.2+ GPA)
  • Quantitative background preferred (finance, economics, mathematics)
  • GMAT 650+ or equivalent GRE score
  • English proficiency: TOEFL 95+ or IELTS 7.0+
  • 0-3 years relevant work experience
  • Strong mathematical and analytical skills

Application Materials

  • Completed online application
  • Official transcripts from all universities
  • GMAT/GRE scores
  • Two professional references
  • Personal statement (500 words)
  • CV/Resume

Key Dates 2025

  • Early Application: January 31, 2025
  • Regular Deadline: April 30, 2025
  • Final Deadline: June 30, 2025
  • Programme Start: September 1, 2025
  • Scholarship Deadline: March 15, 2025

Selection Process

  • Application review and screening
  • Video interview (first round)
  • Assessment day with case study
  • Final interview with faculty
  • Admission decision within 2 weeks

Launch Your Finance Career

Join our next cohort and gain the skills and credentials needed to excel in financial services.

Apply for September 2025 Schedule a Consultation