A Masters degree gives you the opportunity to either further your understanding of a particular question or take off in a completely different way using skills you have gained from your previous undergraduate degree.
Finance is the study of money management, and includes everything from personal savings management to accounting to investment banking. A finance student may choose to specialize in a subfield like retirement planning or business investments, or might keep their education general with a survey of all areas of finance.
The Rady School is in a unique position to offer a Master of Finance that emphasizes quantitative methods, empirical work, and financial econometrics. UC San Diego has a
The STEM Designated Master of Finance program at UC San Diego's Rady School of Management prepares graduates to tackle significant challenges facing the financial sector.
Rady School Master of Finance graduates have secured positions with organizations such as Goldman Sachs, JP Morgan Chase, Altegris, CITIC Securities, Drobny Capital, Rayliant Global Advisors, Gurtin Municipal Bond Management, PhoenixMart, Meritco Services, Dimensional Fund Advisors, UBS, and Stanford University.
The Home of Econometrics
The Rady School is in a unique position to offer a Master of Finance that emphasizes quantitative methods, empirical work and financial econometrics. UC San Diego has a rich tradition in empirical and theoretical econometrics. Some of the most widely-used empirical models developed from the research of UC San Diego faculty. The emphasis on rigorous empirical data-driven methods differentiates the Rady School’s Master of Finance from programs specializing in financial engineering....
The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training
The Master of Science in Finance (MSc.F) with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. You will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges.
Over the course of the program students will:
Acquire knowledge of international taxation and estate planning.
Learn risk management and gain an in-depth knowledge of insurance companies.
Be able to perform a Technical Analysis.
Be familiar with Hedge Fund analysis and management.
Explore financial statement analysis for executives.
Duration: 18 months
Credits: 90 ECTS
Intakes: February and September
Degree Awarded: Master of Science Major in International Finance
Transfer Opportunities: We offer our students the option to transfer for a semester between our Geneva and Barcelona campuses
Internships: We provide the access to internship opportunities in international companies and organizations
Switzerland, Geneva, Spain, Barcelona, Madrid+ 1 More
Make yourself stand out with Miami Business School’s Master in Finance program, centered in the second largest financial hub in the country.
Make yourself stand out with Miami Business School’s Master in Finance program, centered in the second largest financial hub in the country. Miami is home to over 60 international banks and 100 alternative investment companies. The city is also an emerging magnet for entrepreneurship, startups, fintech, hedge funds and private equity. Gain the knowledge base and confidence to make critical decisions for any organization and join the financial leaders of the future.
UNIQUE COURSE CLUSTERS
Learn from world-class finance faculty from many different countries, with PhDs from the most prestigious universities in the world and practical experience on Wall Street and in major global financial markets....
University of St. Gallen (HSG), School of Management, Economics, Law, Social Sciences and International Affairs
With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. A top-tier international facult
With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. It ranked 6th in the Financial Times Ranking 2018.
In the fields of Financial Markets, Financial Institutions, Corporate Finance and Quantitative Methods, the programme offers high-quality education in both theory and application. It is designed to train our students in the critical reflection of various concepts and approaches prevailing in financial theory and practice.
The programme’s educational goals encompass three dimensions:
1. Functional dimension
An understanding of the function and importance of financial intermediation in...
Bentley University - McCallum Graduate School of Business
Developed in collaboration with the corporate community, the Master of Finance degree at the Bentley Graduate Business School integrates mathematics, economics, accountin
Ranked #4 in the U.S. by the Financial Times, the program effectively integrates technology into the curriculum to give graduates a competitive edge in the job market. Our world-class Hughey Center for Financial Services is well equipped with state-of-the-art hardware, access to best-of-breed databases, and simulation software programs — all of which enable a mastery of the tools and techniques used in the industry today. The program offers two paths to choose from: a finance path and a financial analytics path. The new 10 course, STEM-designated Financial Analytics track has a mathematical and capital market focus that will appeal to students interested in risk analysis, risk management, compliance, investment, and financial technology. Depending on prior education and experience, students may be required to take up to four pre-program foundation courses....
University of San Francisco - School of Management
The Master of Science in Financial Analysis (MSFA) at the University of San Francisco is focused on building expertise in investment analysis and management.
There is no city in the world like San Francisco. Transform your career in the SF Bay Area with the USF Master of Science in Financial Analysis.
The USF location can directly impact career outcomes. Our downtown campus puts you in the heart of the San Francisco financial district. You’ll build your professional network with leading financial firms and global companies located just blocks away.
Designed for recent graduates and students in the early stages of their careers, the full-time MSFA is a one-and-a-half-year program that includes a Research Project or Academic Immersion. Read more about the MS Financial Analysis degree student experience....
The Master of Finance program will introduce you to some of the top minds in finance today. Our faculty are consultants to large financial institutions, multinational cor
The Smith School is known for its academic excellence. Our specialty masters programs optimize our top faculty, resources and location to transform you into a business professional ready to lead, no matter which specialization you pursue.
The Master of Finance program will introduce you to some of the top minds in finance today. Our faculty are consultants to large financial institutions, multinational corporations and government agencies. This rigorous curriculum will equip you for challenging and rewarding career options in finance. Obtain mastery in the latest tools in corporate finance, asset management, risk management and valuation. Participate in Center for Financial Policy events, get industry-specific career coaching and receive excellent preparation for the CFA exam....
Rutgers Business School - Newark and New Brunswick
Rutgers, The State University of New Jersey (Rutgers) is proud to be among only ten CFA Institute Partner Schools in the country to offer a one year Master of Financial A
Rutgers, The State University of New Jersey (Rutgers) is proud to be among only ten CFA Institute Partner Schools in the country to offer a one year Master of Financial Analysis (M.Fin.A.) that prepares students to pass the prestigious CFA (chartered financial analyst) exam.
“The Financial Engineer” has ranked the MFinA at Rutgers the number one Master of Finance program in the New York metropolitan area.
Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of busin
Pursue a career in corporate finance and make an impact within a multinational company.
Hult’s one-year Master of Finance equips you with the foundation necessary to tackle the complex world of corporate financial management. Learn both the language of business and the tactical financial skills needed to make an impact in corporate finance and accounting.
Start your program in Boston and have the option to rotate to up to two other Hult campuses for your electives as part of our Global Campus Rotation.
Your Master of Finance at a glance
Who is this program for?
Candidates who have recently graduated from university or college, as well as individuals with up to three years of work experience who want to launch a career in the finance function of multinational companies....
USA, Boston, San Francisco, United Kingdom, London, United Arab Emirates, Dubai, China, Shanghai, New York, Cambridge+ 7 More
The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engine
No restricted admission.
Start of studies
The programme begins each winter semester.
Applicants with foreign certificates please apply until 31 July via uni-assist e.V..
The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engineering) to continue their studies by consolidating and expanding their knowledge in the area of risk management. The objective of the course is to deal with functions such as risk prevention, analysis and control, all of which arise in connection with risk management. The specialist risk management knowledge is communicated in an interdisciplinary manner. Students will acquire competencies in the relevant operational areas of organisations and management....
The Master in Finance develops business leaders with sound knowledge of financial markets and an avant-garde approach in global business. The program is distinguished by
The Master in Finance develops business leaders with sound knowledge of financial markets and an avant-garde approach in global business. The program is distinguished by the balance it offers with the acquisition of expertise knowledge of the financial sector and the strengthening of analytical and management skills highly recognized in the professional field.
This program promotes an innovative financial vision, based on the use of sophisticated technological tools that enable a deep and comprehensive financial analysis, which in turn supports strategic business decision-making. This vision is supplemented by a broad sense of responsible and ethical leadership, with the objective of creating trust in financial agents and institutions, maintaining a global and sustainable perspective of organizations....
The main objective of this master is to make an integrated and coherent presentation of the economic-financial management in the company, based on a rigorous training and
The design and implementation of the business strategy require, necessarily, the prior evaluation of its economic-financial viability and subsequently the monitoring and control of the established objectives. This approach reinforces the strategic nature of financial management as an instrument of real support to the management of the company, by planning and controlling the profitability of the business in conditions of financial equilibrium.
Consequently, the Master in Financial Management and Control of CESMA Business School , relates financial management with the formulation of strategies and policies of the company, analyzes the role of information systems overcoming the purely accounting, presents the instruments and techniques for the financial planning in the short and long term, as well as for the effective management of risks in financial markets, all of this contemplating the company in its environment. On the other hand, the criteria for the efficient organization of a financial department, and the main instruments to control the management of the company's results are provided....
Faculty of Business, Hong Kong Polytechnic University
The Master of Finance (Financial Economics in Energy and Environment) (MoF-EEE) program is suitable for degree graduates, particularly those with no or little work experi
Master of Finance - Financial Economics in Energy and Environment (EEE)
The Master of Finance – Financial Economics in Energy and Environment (FT MoF-EEE) program is suitable for degree graduates, particularly those with no or little work experience, who would like to specialize in the energy and environment areas of the financial industry. This specialism is built on solid economics and finance foundations and provides students with up-to-date business and financial information on the development of energy and environment markets.
On completion of the FT MoF-EEE program, graduates will be able to:
Apply conceptual frameworks drawn from Accounting, Risk Management, Economics, Quantitative Method and Law to the analysis of investment and corporate finance issues.
Solve asset management/corporate finance/ energy and enironmental economics problems as they present themselves in real-life situations.
Formulate financial strategies and envision their outcomes.
The Master Degree is a stimulating and complete master program (full-time, 12 months), providing competencies to advance the career in Insurance, Consultancy & Risk M
Master in Insurance & Risk Management
The Master Degree in Insurance & Risk Management is a stimulating and complete master program (full-time, 12 months), providing the managerial and technical competencies to advance the career in insurance, risk management, finance and consulting.The Master has been developed with the direct support of company leaders in Insurance, Finance, and Consulting (Allianz, Generali, KPMG, EY, etc), contributing to its realization from a selection of candidates to defining the curriculum and job placement.
CareersAreas of employment: Insurance, Consulting, Business Advisory, Financial Services, Banking, Risk Management.
Professional Roles: Risk Manager, Underwriter, Actuary, Consultant & Advisor, Financial Analyst, Internal Auditor, Business Analyst....
PHBS Master of Finance is a two year and full-time program, culminating in a final thesis, which focuses on a core curriculum in financial theory and applications, and in
Located in the thriving entrepreneurial city of Shenzhen, China, and immediately adjacent to the financial hub of Hong Kong, Peking University HSBC Business school (PHBS) brings Peking University’s historical presence to the country’s south and lies at the very heart of one of the world's most promising and dynamic metropolitan areas. Few other regions in China offer a more suitable setting for an institution destined to become this country's foremost graduate business school.
Accredited by EFMD for EPAS and by AACSB, PHBS has rapidly grown in reputation and as a center of international excellence in Business education.
PHBS Master of Finance is a two year and full-time program, culminating in a final thesis, which focuses on a core curriculum in financial theory and applications, and in which international students learn alongside Chinese peers in an environment of cross-cultural dialogue....