fbpx
sidearea-img-1
Lorem ipsum dolor sit amet, consectetuer adipiscing elit, sed diam nonummy nibh euismod tincidunt ut laoreet dolore magna aliquam erat volutpat.
sidearea-img-2 sidearea-img-3 sidearea-img-4 sidearea-img-5

Recent News

Newsletter

[contact-form-7 404 "Not Found"]

Faculty

MASTER FINANCE & BANKING

Máster in Finance & Banking

Faculty Members Specialist

UAH faculty members are specialists in their field. They have international research reputations and are well positioned in the finance sector.

As a student of the Máster in Finance and Banking, you will have the advantage of learning from leaders in the fields of Corporate Finance, Financial Markets and Risk Management.

Specialist in their field

Faculty Members

  • ASCORDEBEITIA, ENRIQUE BS degree in Business Administration (graduated with honours). Master's degree in Quantitative Finance. Former Senior Advisor at ING National Nederlanden Group. Lecturer at the University of Alcalá, 10 years experience in Education, involved in several Undergraduated & Master Programs
  • BALBÁS, BEATRIZ BS degree in Business Administration from University Carlos III of Madrid, PhD in Actuarial and Financial Economics from Complutense University of Madrid. Associate Professor of Finance, University of Alcala
  • CARRASCAL GARCÍA, GREGORIO Double degree in Business Administration and Law and Master’s degree in auditing and Corporate Social Responsibility. Lecturer in Accounting at the Universidad of Alcalá (UAH), Madrid, Spain. CFA charterholder and FRM
  • COLMENAR PALOMARES, MARIANO BA in Business Administration from the Universidad de Alcalá. MBA from the University of San Fracisco’s McLaren Schoold of Management. He has worked in capital markets for Paribas, Barcays, Credit Suisse, Banco Santander, as Global Head of Research, and ICO as Chief Investment Officer.
  • FERNÁNDEZ HERRERO, ÁLVARO Degree in Economic Sciences granted by Universidad Complutense, with a major in Quantitative Theory. Title of Financial Risk Manager (FRM), granted by the Global Association of Risk Professionals (GARP) Chief Risk Officer in Alantra
  • GARVEY, ANNE MARIE PhD in Business Administration (Financial Accounting) and Master’s Degree in Management from the University of Alcalá. Visiting professor at the University of Alcalá in the area of Accounting and International Accounting.
  • HERNÁNDEZ–ROS, ANA Bachelor in Business Administration. CUNEF (UCM Madrid). Executive Program- Investment Banking Corporate Finance Seminar. Kellog Graduate School of Management (North-western University)- Chicago. Director of Training in ​​Corporate Finance area at Ernst & Young and previously worked for Goldman Sachs and Societé Générale in M&A
  • JIMENEZ-MARTIN, JUAN ÁNGEL PhD (Economics), 2003, from Universidad Complutense de Madrid Associate professor in Econometrics and Finance at the Universidad Complutense de Madrid (UCM) in the Department of Economic Analysis, Madrid, Spain
  • MORENO MUÑOZ, JESÚS DAVID PhD in Economics from the Universidad of Alcalá. Master in Finance from CIFF Business School and UAH. Bachelor in Economics from the Universidad of Alcalá. Associate Professor of Finance in the Department of Business Administration at the University Carlos III.
  • OTAL FRANCO, SARA HELENA Doctor in Accounting. Master in Auditing. Associate Professor in Accounting, UAH. Associate Profesor in Financial Accounting (UAH).
  • PEREZ RODRIGUEZ, JOSE ANTONIO PhD in Economics and Master in Applied Economics from the Universidad Complutense Madrid. Specialization in Finance (University of California, Irvine) and International Management (Université de Bordeaux). Graduated in Economics from Universidad de Alcalá. Training Coordinator at BME Institute (BME Group) since 2008. BME Equity Unit from 2000 to 2007.
  • RUBIANES CARRASCO, DAMIÁN Degree in Economics and Business Administration from the Universidad Complutense de Madrid and University of Westminster (London). MBA Cum Laude by IE Business School (Madrid). Certified Expert in Financial Investments by EFFAS (CIIA Foundation). Degree (Hons) in Humanities by UOC (Barcelona). Professor of Finance at several universities and business schools.
  • RICO GARRIDO, SILVIA PhD in Economics and Business Administration from the Univ. Pontificia Comillas (Madrid). Master in International Humanitarian Assistance (NOHA), Univ. Deusto (Bilbao, Spain). Lecturer in Microfinance at the Universidad of Alcalá (UAH), Madrid, Spain.
  • WEITZ, MARIO Degree in Economics from the University of Buenos Aires. Master in Economics from the American University. PhD-ABD from American University Director General of Open Consultation, Lecturer in several Master courses, Consultant of the European Commission and the World Bank on economic issues and trainer in Spanish banks and large European companies
  • PALACIO, IGNACIO Certified Financial Risk Manager (FRM) by GARP association and CISA (Certified Information Systems Auditor) by ISACA, combined with a MSc in Financial Risk Management. enior market & structural risks Internal Auditor, performing corporate auditing functions related to Corporate Investment Banking (CIB) business and activities and Corporate Risk management oversight and control. MSc in Computer Science and engineering and a MSc in Mathematics.
  • GARCÍA HERRERO, CARLOS Internal Auditor Group VP at Santander Group (long international experience in financial risk audits; development of digital transformation). Bachelor´s Degree in Business Administration and in Actuarial and Finance Science from the University of Alcalá (UAH). CFA® charterholder. FRM Certified (GARP). Lecturer in Quantitative Finance at the University of Alcalá (UAH).

Professionals from
the financial sector

Reputed professors with international experience in the financial sector