Master Degree in Finance

Best 259 Masters Programs in Finance 2018

Finance

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

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.

Master's Degree in Finance

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Master in Finance

Castelldefels School of Social Sciences
Campus Full time September 2018 Spain Barcelona

The ASPIRE Master in Finance combines cutting-edge theoretical frameworks with an applied perspective of the day-to-day managerial implications of the financial roles. Our faculty members have an extended experience in a variety of industries and types of companies, from startups to big, consolidated players to offer the best possible learning experience in the vibrant city of Barcelona. [+]

From the new challenges posed by the recently overcame global financial crisis, to the new ways companies confront them, financial trends shape the world in which we live.

The demand for outstanding financial professionals is constantly growing. Companies demand managers with proven skills to understand these new scenarios, boost the corporate growth, diversify revenue streams and raise capital.

The current competitive landscape requires a different level of an efficient financial approach to management, combining both a solid understanding of the managerial implications of the corporate financial structure, an updated perspective of the evolution of economic agents and regulators, and an in-depth analysis and monitoring of the financial KPIs of the business model. ASPIRE’s Master in Finance is willing to train an outstanding generation of new managers to successfully face these challenges.... [-]


Master of Applied Finance

Victoria University of Wellington, Business School
Campus Full time July 2018 New Zealand Wellington

Offered by the School of Economics and Finance and created in consultation with accrediting professional bodies, the programme is oriented towards applied knowledge so you gain the crucial industry skills you need to hit the ground running. [+]

Industry-relevant learning

Advance your financial skills and boost your career with Victoria’s postgraduate programme in Applied Finance.

Offered by the School of Economics and Finance and created in consultation with accrediting professional bodies, the programme is oriented towards applied knowledge so you gain the crucial industry skills you need to hit the ground running.

Finance from all angles

Explore the workings of capital markets in New Zealand and around the world. Gain a deeper understanding of valuation, financing, investment management and banking. Improve your computer skills and perfect the art of financial modelling.

Learn the principles, practice and operations of financial markets, and the management of corporate, government and financial institutions. You'll gain the practical and operational skills you need to succeed in the international world of volatile financial markets.... [-]


Master Online - Financial Management

Instituto Europeo de Posgrado
Online Part time 14  September 2018 Spain Madrid Spain Online + 1 more

The Master in Financial Management enables students as a specialist in this business area, giving the skills and abilities needed to overcome the challenges that arise when financial occupy positions of managerial responsibility ... [+]

Master Online - Financial Management

The Master in Financial Management enables students as a specialist in this business area, giving the skills and abilities needed to overcome the challenges that arise when financial occupy positions of managerial responsibility.

What are the program objectives?

The objective of the Master in Financial Management is to train professionals and skilled managers able to manage and respond effectively to the problems of the areas and the financial companies through the acquisition of highly practical knowledge and skills needed to cope these challenges.

Why Choose Us?

The learning methodology is based on the "case method", video classes, virtual sessions and interactive exercises. The student has a weekly schedule of work and personal follow a tutor. The faculty consists of professionals in the business.... [-]


Master of Finance

Hult International Business School
Campus Full time August 2018 USA Boston San Francisco United Kingdom London United Arab Emirates Dubai China Shanghai New York Cambridge + 9 more

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. [+]

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.

Locations

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.... [-]


Master of Finance

Rady School of Management
Campus Full time 12 - 15  September 2018 USA La Jolla

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 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.... [-]


Master in Revenue Management and Digital Marketing

Euroaula Barcelona
Campus Full time 12  October 2018 Spain Barcelona

Tourism professionals need to specialize in new management models. Increasingly, hotels and other tourism companies, such as airlines and travel agencies, are claiming profiles of Revenue and Marketing Managers that will help them to maximize their income. This Master focuses on providing students with the Digital Marketing and Revenue tools needed to develop more effective strategies in this area and fulfill the increasing demand for professionals in that area. [+]

This Master focuses on providing students with the Digital Marketing and Revenue tools needed to develop more effective strategies in this area and fulfill the increasing demand for professionals in that area.

Programme Objectives Acquire a vision of Digital Marketing and Revenue Management from the perspective of business management. You will be capable of promoting the culture of Marketing and Revenue Management as an indispensable element of tourism management. Understand the procedures, tactics, and strategies of the Revenue Management and apply them to the reality of tourism management. Manage and anticipate demand adequately. Manage in a balanced way the commercialization and distribution of the different sales channels: direct channel vs. intermediary channels. Acquire the knowledge to face the needs of a tourism company, and especially of hotel companies and travel agencies. You will be updated with new marketing strategies in tourism companies. Acquire knowledge to design a specific marketing plan for a tourism company to improve its competitiveness. Key Tools ... [-]

Official University Master's Degree: Economic Analysis Of Law (UCM)

Instituto Universitario de Investigación Ortega y Gasset
Campus Full time October 2018 Spain Madrid

This program offers a unique opportunity to carry out interdisciplinary and official postgraduate studies in Law and Economics. [+]

Basic information

Director: Mr. Francisco Cabrillo Rodríguez and Ms. Rocío Albert López-Ibor/>

Title: Master's Degree in Economic Analysis of Law

Credits: 60 ECTS

Price: 7,000 euros * (UCM fees, between 800 and 1300 euros, depending on the student's origin, community or not)

Duration: October - June

Face-to-face modality

Information and contact: infocursos@fogm.es

* The price may be subject to modifications/>

The Economic Analysis of Law is an innovative approach taught in the most prestigious universities in the world. It is a methodology that applies to problems of a legal or institutional nature, economic principles and reasoning, placing special emphasis on the efficiency of standards, contracts and institutions in general. The Master is the best way to achieve a solid economic training, rigorous and applied, in the shortest time possible, and is intended primarily for graduates in Law, Economics, Political Science and general graduates of Social Sciences/>... [-]


Masters In Banking, Financial Markets And Asset Management

OBS Business School
Online Full time Part time 12  May 2018 Spain Barcelona Madrid + 2 more

The Master in Banking, Financial Markets and Asset Management OBS enables you to obtain various certifications for professional financial advice EFPA (European Financial Planning Association) certification and training provides you with international vision, to progress successfully in your career in the financial sector, enabling you ... [+]

Master in Banking, Financial Markets and Wealth Management

The Master in Banking, Financial Markets and Asset Management aims to train professionals in the financial and wealth advisory services with competence, skills and abilities to develop their activities in the global, diverse and multidisciplinary environment.

In recent years, asset management is one of the economic areas that has undergone a major transformation based fundamentally on three pillars: banks, with a large increase in supply and variety of financial products in which we invest, financial markets increasingly complex, with a close relationship with the geopolitical news and the speed at which events unfold and finally, people with greater financial culture that fosters a more active and direct participation in management their heritage. We are facing a higher level of complexity and the need for highly specialized professionals.... [-]


MScF in International Finance

Geneva Business School (GBS)
Campus Full time 18  September 2018 Switzerland Geneva Spain Barcelona + 2 more

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 in the conceptual, analytical and empirical intricacies of modern international finance and investment. [+]

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. Facts Duration: 18 months Credits: 90 ECTS Language: English 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 Program ... [-]

Master in Financial Management

EAE Business School International
Campus Full time 12  October 2018 Spain Madrid

From a role focused on supervising, implementing and controlling funds relatively initially easy to obtain, the Finance Manager has felt the need to take part in the firms' strategic management, providing value to tackle the scarcity of resources as well as providing planning, negotiating and risk analysis expertise. [+]

In recent years we have had to deal with in a business crisis, as a result of the global financial and economic situation. These circumstances have radically transformed the role of Finance Management in companies.

From a role focused on supervising, implementing and controlling funds relatively initially easy to obtain, the Finance Manager has felt the need to take part in the firms' strategic management, providing value to tackle the scarcity of resources as well as providing planning, negotiating and risk analysis expertise.

There has been a transition from management to adding value in a situation where the economy and financial markets are liberalized, where they are concentrated, and where they offer a wide range of new and innovative products.... [-]


Master of Science in Financial Analysis

University of San Francisco - School of Management
Campus Full time Part time 18 - 22  August 2018 USA San Francisco + 1 more

The Master of Science in Financial Analysis (MSFA) at the University of San Francisco is focused on building expertise in investment analysis and management. [+]

The Master of Science in Financial Analysis (MSFA) program at the University of San Francisco provides a unique combination of academic rigor and practical expertise in quantitative financial analysis and economics. Gain sophisticated training in the areas deemed crucial by the investment management profession as embodied in the Chartered Financial Analyst (CFA) designation. This graduate program integrates the quantitative training required by the financial profession with a solid grounding in the ethical behavior that underpins financial markets and transactions.

Details Select from 2 program formats: an 18-month full-time program that includes a faculty-led practicum or Wall Street/SEC immersion program. a 22-month part-time program designed for working professionals. Preparation for the CFA exams. Access to Bloomberg Terminals. A wide range of scholarship and financial aid options. Offered at USF's San Francisco Downtown Campus (fall and spring semesters). Accredited by the AACSB, the highest standard of achievement held only by 5% of business schools worldwide. Entry Requirements Official Transcript(s) – Upload copies of transcripts from each accredited college or university attended to the online application. If admitted to the program, instructions for sending official, sealed transcripts will be provided. Required Foundation Courses – Microeconomics, Macroeconomics, Accounting, Probability and Statistics, Calculus courses, and knowledge of spreadsheet applications. Résumé – Submit a current résumé demonstrating relevant work experience. Professional MSFA applicants must have a minimum of two years of full-time, post-undergraduate professional experience. Letters of Recommendation – Two letters of recommendation are required. MSFA applicants must submit at least one recommendation from a... [-]

Specialised Programme in Quantitative Finance

emlyon business school
Campus Full time September 2018 France Paris

The objective of the Specialised Programme in Quantitative Finance is to train top-level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. [+]

Specialised Programme in Quantitative Finance

Gain scientific, technical and financial skills

The objective of the Specialised Programme in Quantitative Finance is to train top-level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation.

This 12-month programme has been developed to help graduates from engineering schools and universities, possessing a strong background in mathematics, computer science, physics and similar areas of expertise, launch their career in quantitative finance. After completing this specialised programme, graduates take up various positions like Risk Manager, Financial Engineer or ‘Quant’, Asset Manager, Fund Manager and others.... [-]


Master in Economics

South Ural State University
Campus Full time September 2018 Russia Chelyabinsk

The program is preparing economists-researchers, who get deep knowledge in modern economic theory with professional ownership of socio-economic methods, methods of economic and mathematical modeling and analysis. [+]

The program is preparing economists-researchers, who get deep knowledge in modern economic theory with professional ownership of socio-economic methods, methods of economic and mathematical modeling and analysis. The courses offered within the program open wide opportunities for both academic career and employment in the field of research, in state and municipal administration, in companies with financial, economic or analytical divisions, banks, that require professional knowledge in the field of economics.

banking management accounting, internal control, and taxation commerce on the foreign market of goods and services international economics and trade policy sustainable development of economic and social systems customs regulations and international economic activities of the company pricing and budgeting economics and management in investment construction complexes business and market economics economics analysis and controlling of the enterprise economics support of project management for enterprise development ... [-]

Master in Finance

EU Business School
Campus Full time October 2018 Spain Barcelona

As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. [+]

New financial paradigms are emerging. With new regulations and a shift in ethical thinking, the ability to understand and decipher the ever-growing complexity of the world of finance is a quality that is more important than ever before.

As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. From its foundations to its future of finance, you will gain a balanced understanding of one of the most crucial aspects of a business.

How You Earn Your Certificate

The Master in Finance (60 ECTS) is a one-year program, divided into three terms. Each term comprises four courses (4 ECTS each) and one seminar (2 ECTS). Throughout the year, students are also exposed to real-life case studies, games and business simulations. In order to graduate, participants must also complete a business plan (6 ECTS).... [-]


Master of Financial Analysis

Rutgers Business School - Newark and New Brunswick
Campus Full time September 2018 USA 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 Analysis (M.Fin.A) that prepares students to pass the prestigious CFA (chartered financial analyst) exam. [+]

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.

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