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Financial Statistic, Risk Management and Insurance Actuarial

Teaching Medium: English
Degree Awarded: Master's Degree
Entry Requirements: Bachelor's Degree
Duration: 2.5 Years
Starting Date: Sep.2025
Application Deadline: Jul 31, 2025
Tuition Fee:
CNY 25,000 per year
Application Fee:
150 USD (Non-Refundable)
Schools: Other

Teaching Objectives

The overall aim of the program is to improve students' applied knowledge, skills and capabilities as financial professionals and to broaden students' horizons intellectually. The degree is designed to stimulate students' awareness of existing and emerging issues, and to advance students' skills in identifying and solving financial analysis problems of an applied nature. Students will be introduced to the theoretical and practical financial issues both at home and abroad.


Research Fields:
Monetary and Banking, focusing on the research on monetary theory and policy, exchange rate and international currency system, commercial bank management, theory and practice of financial supervision and risk management, new institutional economics ,corporate management, and regional finance.
Capital Market, focusing on the research on investment portfolio theory, the stock market and futures market operation mechanism, financial analysis, bond investment and financing theory, financial engineering theory, the financial market risk management, credit risk management, the financial markets (including informal finance markets and financial derivatives markets etc) and corporate finance.
Insurance, focusing on the theory and practice of insurance, insurance market research and analysis, and insurance and risk management.
Compulsory Courses:
Advanced Microeconomic Theory
Advanced Macroeconomic Theory
International Finance
Monetary Economics
Financial Economics
Principles of Investment
Banking Business Management
Insurance Economics


Elective Courses:
Financial Institutional Theory
Corporate Finance
Insurance Actuarial Science
Applied Quantitative Analysis of Finance
Risk Management of Banking
Fixed Income Securities and Derivatives
Investment Study Principle
Bank Management Science
Theory and Policy of Currency Finance
Analysis of Financial Operation
Comparison of Finance System and Policy

International Finance Management


Duration
2.5 years

Degree Awarded 
Qualified student will be granted Master of Finance by Zhejiang Gongshang University 



1. Non-Chinese citizens and in good health.

2.  Have bachelor degree

3. Applicants (except for English native speakers) must have TOEFL test  or IELTS test  or have other  English language proficiency.




1. Graduation certificate of high school

Graduation certificate should be in Chinese or English. If not, it should be translated into Chinese or English and be notarized.

 

2. Academic transcript of high school

Transcript should be in Chinese or English. If not, it should be translated into Chinese or English and be notarized.


3. Certificate of English proficiency test

It is better to upload your IELTS or TOEFL results when you are applying for a course taught in English, especially for those non-native English speakers, even though it is not a compulsory condition in some of the universities.


4. Resume


5. Two letters of recommendation
From professor or associate professor or equivalents.


6. Photocopy of valid passport
With name, passport number & expiration date, and photo included.

 

7.Two passport-sized photo
Two recent passport-sized photo of the applicant.


8.Health certificate
Photocopy of foreigner physical examination record.