摘要
我国现代金融业发展起步晚,层次低,为了适应社会对金融高端人才的需求,必须转变传统的金融硕士人才培养模式。本文以南京审计学院为例,提出以高校、政府、企业以及科研院所联合培养金融硕士的人才培养模式,包括校政企研合作开发建设校内仿真实验教学平台、合作建立金融研究中心、合作建立金融研究生实习实践基地、采用"两阶段"及"双导师"制联合培养金融研究生等。最后针对校政企研在合作培养金融硕士的过程中可能遇到的问题提出了对策和建议。
In order to meet the needs for high-level financial professionals, we must change traditional financial training. This article presents Nanjing Audit University's joint master-of-finance program that is characterized by the university's collaboration with the government, industry and research institutes in providing necessary training. The four partners jointly developed an on-campus simulation experimental teaching platform, a financial research center, a number of graduate financial internship bases, and a two-stage, double-supervisor system of training. In addition, the paper offers some suggestions for dealing with problems that may arise in such joint training.
出处
《研究生教育研究》
CSSCI
2016年第1期80-85,共6页
Journal of Graduate Education
基金
江苏省研究生教育教学改革研究课题"校政企研联合培养研究生模式及基础建设的研究与实践"(JGZZ14-071)
关键词
校政企研
金融专业硕士
培养模式
策略分析
university
government
industry
research institute
master of finance
innovation
strategy