Field · Finance & Banking

Bac+4 Mastère Finance Gestion des Risques.

Finance & Risk Management — school-awarded Mastère programme (Bac+4)

The Mastère Finance Gestion des Risques is a Bac+4-level degree preparing students for careers in the Finance & Banking sector. Classes are held at Enerlab Academy in Asnières-sur-Seine, 15 minutes from central Paris.

LevelBac+4
Duration2 years
FormatWork-study · Initial
Volume1 400 h
RecognitionState diploma
Financing
Format: Initial · Work-study
Apply → Ask a question
00

Programme overview

The Mastère Finance Gestion des Risques is a Bac+4-level degree preparing students for careers in the Finance & Banking sector. Classes are held at Enerlab Academy in Asnières-sur-Seine, 15 minutes from central Paris.

Over 2 years, through work-study (apprenticeship or professionalisation contract) or initial training, the programme combines theoretical coursework, hands-on workshops and company placements. Work-study costs are fully covered by the employer (OPCO), and students receive a legally regulated monthly stipend.

Upon graduation, students enter the job market quickly, supported by Enerlab Academy's network of over 500 partner companies in the Île-de-France region, or continue into higher education.

01

Programme objectives

Goals of the programme:

  • Master risk measurement methodologies
  • Implement regulatory frameworks (Basel, Solvency)
  • Develop internal control systems
  • Analyse market, credit and operational risks
  • Design hedging strategies
02

Admission & prerequisites

Required prerequisites and selection procedure:

  • Bac+3/4 in Finance, Economics or Mathematics
  • Admission based on application file and interview
  • Technical tests (financial mathematics, statistics)
  • Minimum B2 level of English required
  • Interest in financial regulation
03

Detailed programme

Detailed teaching content:

ModuleYear 1Year 2Coef.
Gestion des risques financiers (marché, crédit, liquidité)4h/semaine4h/semaine5
Réglementation prudentielle (Bâle III/IV, Solvabilité II)3h/semaine3h/semaine4
Modélisation statistique et Value at Risk4h/semaine3h/semaine5
Risque opérationnel et contrôle interne2h/semaine3h/semaine4
Stress testing et scénarios de crise2h/semaine3h/semaine4
Compliance et lutte anti-blanchiment2h/semaine2h/semaine3
Programmation et outils de risque (VBA, Python, R)3h/semaine2h/semaine3
Finance d'entreprise et marchés3h/semaine2h/semaine3
Anglais des affaires2h/semaine2h/semaine2
Mémoire de recherche appliquée2h/semaine3h/semaine4
04

Skills acquired

Operational skills developed:

05

Career outcomes

Direct access to qualified positions on the market.

Risk Manager Risk Analyst Risk Controller Compliance Officer Risk Management Consultant Head of Internal Control
5b

Salaries & sectors

Average gross annual salary

Junior (0–2 years)
36 800 – 43 700 € / year
Experienced (3–5 years)
43 700 – 55 199 € / year
Senior (5+ years)
63 249 – 86 250 € / year

Sources: APEC, France Travail, INSEE 2024 — gross annual salaries in Île-de-France.

Hiring sectors

Retail banking (BNP, SG, LCL, Crédit Agricole)
Private banking & wealth management
Investment banking (front, back, middle office)
Audit & accounting firms (Big 4)
Corporate finance (CFO, controller)
Insurance companies & brokerage
Asset management firms
Fintech & neobanks (Qonto, Lydia, Revolut)
06

Sessions 2026-2027

Fall intake
September 2026 start
Applications until 30 Sept 2026 · late entry until 30 Nov 2026
Winter intake
18 January 2027 start
Enrolments until 31 Jan 2027 (or until seats fill) · late entry until 28 Feb 2027

Ready to join the Mastère Finance Gestion des Risques?

Our admissions team replies within 5 business days. 100% online application, free guidance.