The MSc, or Master of Science, is an internationally recognized academic degree that indicates proficiency and knowledge of a given topic or field. Most MSc programs take about four years to finish, after which some join the workforce while others continue on in the classroom.
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 of Science Degree in Finance
The Master of Science in Finance (MSc.F) with a Major in Islamic Finance is designed to give you, as a future entrepreneur, the knowledge base, and skills to start your own successful businesses. The program provides an in-depth, practical education in business and management theories and principles. You will become an effective critical thinker and successfully identify business opportunities by effectively using analytical tools and problem-solving. [+]
The Master in Islamic Finance is a comprehensive post-graduate program for people who are seeking a detailed understanding of the concepts and mechanisms of Islamic Finance. The program offers an opportunity to study the structure of the Islamic banking and finance industry, including its theoretical foundations, products, performance, Islamic financial instruments and risk management issues.
Over the course of this program students will:Gain knowledge of global business topics and issues. Acquire expertise in the legalities of business startups. Obtain management, organizational, and strategic planning skills for the launch of new projects and business start-ups. Program ... [-]
Taught by professionals with extensive industry experience and high academic qualifications, the MSc Finance with Specialisations will prepare you for work in multicultural, globalised financial and banking organisations. Combine your theoretical knowledge and practical training in a rigorous and challenging study of financial markets. [+]
Taught by professionals with extensive industry experience and high academic qualifications, the MSc Finance with Specialisations will prepare you for work in multicultural, globalised financial and banking organisations. This course will combine your theoretical knowledge and practical training in a rigorous and challenging study of financial markets.
The programme offers three specialisations:Trading Risk Management Banking
You will gain a thorough understanding of the various fields that make up the finance industry, as well as learning practical skills for your future career. We simulate the real-life experience of working in finance through training on the Thomson-Reuters platform, and guest lectures from industry specialists. We also use case studies of current live companies of interest, and you will participate in a case study competition, where your final valuation is presented to a panel of experts. You will look at how the theory and research you study applies to today’s reality, by discussing topical issues, such the eurozone crisis, considering a range of different perspectives, its causes, and potential solutions.... [-]
This programme will train you for advanced technical or managerial roles in new interdisciplinary areas of computational techniques and equip you with financial knowledge to deliver effective business solutions. [+]
With the rapid advancement of computing technology, there is an increasing demand in the dynamic and challenging environment of financial services for a variety of technical talent to deliver business solutions on a global scale.
The MSc Financial Computing programme addresses market demand and will train you for advanced technical or managerial roles in new interdisciplinary areas of computational techniques and equip you with financial knowledge to deliver effective business solutions.
The Department of Computer Science and Software Engineering is equipped with specialist lab facilities for operating systems, networking, mobile computing and multimedia technology that will support your learning and research.... [-]
Finance students are prepared for careers in private industry and government in such areas as banking, brokerage, individual and institutional investments, insurance, financial analysis, and planning, [+]
Master of Science in Finance
The University of Tampa Master of Science in Finance prepares students for careers in the ever-changing financial industry. Changes in the investment industry and the financial markets require well-trained financial professionals to make value-enhancing decisions as information becomes available and the business environment changes.
Finance students are prepared for careers in private industry and government in such areas as banking, brokerage, individual and institutional investments, insurance, financial analysis and planning, portfolio management and more. Several courses have integrated the CFA® curriculum as provided by CFA Institute and are based on the Candidate Body of Knowledge (CBOK) from the CFA® Program. Topics in these courses assist students in preparation for the CFA® exam.*... [-]
These courses are designed for recent graduates with a desire to develop their knowledge and skills in investment management or finance and management before seeking their first professional role; and professionals who already have work experience in these industries and are looking to take their career to the next level. [+]
Top 10 UK ranked course (Financial Times Masters in Finance Pre-experience ranking 2017), our Finance and Management MSc provides solid grounding in finance and management principles, rigorous training in relevant tools and techniques, and demonstrates how to apply them practically in the global workplace.
Our MSc in Finance and Management is a one-year full-time course designed both for graduates looking to develop their knowledge of finance and management before seeking a first professional role, and for individuals who already have work experience in the area of finance or management and are looking to move ahead in their career.
The course is taught by our team of faculty experts who have extensive industry experience and who regularly work with major global financial services organisations, multinationals and government agencies around the world.... [-]
The Master of Science in Financial Economics (MSFE) degree programme is designed to prepare economists and finance professionals for the challenge of analysing and interpreting financial data and the implications of evolving economic policies, financial regulations and innovative financial products. [+]
The Master of Science in Financial Economics (MSFE) degree programme is designed to prepare economists and finance professionals for the challenge of analysing and interpreting financial data and the implications of evolving economic policies, financial regulations and innovative financial products. It is a multidisciplinary programme that draws on experts in economics, finance, accounting and law to equip talented graduates and practitioners with the relevant domain knowledge and the skills needed to apply state-of-the-art methods to the analysis of issues in financial economics.Designed for
This programme is designed for quantitatively inclined and talented professionals from various backgrounds like Engineering, Physical and Social Sciences, Business, Finance and Economics. Its primary strength draws on the inherently multidisciplinary nature of the programme involving faculty with expertise in economics, econometrics and finance to a larger degree, and in accounting and law, thereby generating a unique “transformative” learning experience for students.... [-]
The second cycle degree in Finance and Risk Management (FRIM) is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk. [+]
Official Program Description
The Master of Science in Finance and Risk Management (FRIM) Program is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk.
Graduates in Finance and Risk Management (FRIM):acquire a thorough knowledge of mathematical calculation tools applied to the economy of financial products and markets, finance, and insurance as well as specialized knowledge of company risk models employed by banking, financial and insurance analysts; in addition, they gain statistical knowledge that enables them to process data and estimate economic relationships; acquire the knowledge and understanding necessary to apply such methodologies and tools to the field of finance in terms of analysis of international scenarios, implementation of decision models in financial markets and in company management, and analysis and development of the management processes typical of the different categories of financial intermediaries; develop the capacity for independent judgment regarding issues of company financial management and risk management and the modeling of financial markets, thus being able to efficiently interpret and process the information and data acquired; develop the ability to communicate, both within companies and to a non-specialized public, information about the performance of financial markets, the use of alternative financial tools and banking and insurance risk management; acquire the ability to organize independently the life-long learning process now required by professions because of the changed... [-]
The Master of Finance seeks to equip graduates with the knowledge, skills and competences needed to pursue successful careers mainly in the international finance community. [+]
The Master of Finance programme is an internationally recognised study programme that paves the way for a future career in any part of the financial industry. It is a full-time programme (120 ECTS) that allows students to work part-time three work days during the week. The normal programme duration is four semesters. In addition, different time models are available if you want to reduce your required stay in Frankfurt.Target Audience
Recent graduates or young professionals who wish to build their careers in the world of finance. Many of our students already hold degrees in finance, management or economics, however, we also invite candidates to apply with degrees in unrelated fields. All candidates are expected to have experience in university level quantitative analysis.... [-]
The objective of this program is to impart a high level of expertise in corporate finance and financial analysis [+]
Master of Science in International Finance Analysis
The objective of this program is to impart a high level of expertise in corporate finance and financial analysis. Students and professionals wille explore more deeply the financial, accounting and legal techniques in order to acquire a solid expertise, essential to high-level positions. The training also prepares many degrees and/or professional certifications (AMF, CFA, BAT, etc.).This one-year program combines courses mainly conducted by industry experts with a long-term internship that allows students to apply the acquired knoweldge. Graduates are recruited as: financial analyst (buy side/sell side), credit analyst, corporate analyst (mergers and acquisitions, private equity, primary activities, etc.), asset manager, fund manager, financial expert, expert in real estate asset management, investment adviser, expert in risk management, financial communication manager, compliance manager, financial management, etc.Courses... [-]
TBS Barcelona’s full-time, 18-month MSc Finance is taught entirely in English and offers 2 specialisation tracks so that you can easily tailor the courses to help you achieve your career goals: Corporate Finance and Management Control and Governance. Additionally you will get hands-on practice during a 6-month internship in top national and international businesses. [+]
TBS Barcelona’s MSc Finance is a full-time programme that will provide you with the competitive edge to successfully develop your career in what is a key discipline for efficient business management. The course is taught fully in English and can be customized to best match your career goals: choose between our Corporate Finance, and Management Control and Governance specialization tracks to focus on the most relevant field to your interests and professional future. The course will give you an invaluable insight into applied concepts relating to business and general management whilst training you in the latest financial and IT tools. It will equip you with the technical and analytical skills to make a noticeable difference in the workplace. You will also perfect your mathematical capabilities to be able to successfully integrate quantitative analysis with the hands-on practical training you will receive during a 6-month internship in a top national or international business. In addition, you will benefit from a personalised coaching programme to enable you to find your ideal professional path. TBS Barcelona’s MSc Finance combines a deeply practical focus with resolute academic vigour. You will have access to highly experienced professionals from the business world as well as leading academics in the finance field. The right choice to launch you on your career in finance!... [-]
The Master of Science in Finance has clear objectives, related to applying the knowledge. The graduates should be able to demonstrate a deep analytical knowledge and an operational [+]
Language of instruction: English
The Master of Science in Finance has clear objectives, related to applying the knowledge. The graduates should be able to demonstrate a deep analytical knowledge and an operational understanding of financial concepts, thereby having attained skills sufficient to apply financial theory to practical problems and working knowledge of empirical tools including software programmes from professional financial vendors and investment banks. To this end, the programme is designed to equip students with a strong foundation in analytical and empirical analysis, and to educate them more generally about the research process in finance and related disciplines. Thus, the programme is primarily professionally oriented, leading to a job in the financial or business sector. Graduates can work as, for example, fund managers, security analysts, risk managers, asset allocation specialists, financial engineers, hedge fund analysts, and traders. Career opportunities are chiefly with asset management companies, brokerages and investment banks, hedge funds, private banks and pension funds.... [-]
The Master in Finance at IUM offers 2 specializations: Hedge Funds & Private Equity; International Wealth Management & Private Banking. [+]
- 92% Placement at 3 months
- 82% Working Internationally (out of their Native Country)Two Specializations
1/ Hedge Funds and Private Equity
2/ Private Banking and International Wealth Management1/ The Hedge Funds and Private Equity Specialization
The Hedge Funds and Private Equity Track prepares students for a variety of positions within the financial industry.
Industry players require well-educated associates with a solid analysis capacity, and the ability to find value-creating solutions.
This program prepares highly competent finance professionals with a strong business sense, the capacity to formulate and implement innovative strategies and to work efficiently in intense, detailed oriented finance teams.... [-]
The Master of Science in Islamic Finance at QFIS offers students a thorough understanding of Shariah rules and the teachings of Islam as they relate to finance and economics. The program is designed to equip participants with the knowledge and skills required to contribute to scholarship and practice in the fields of both finance and Islamic finance. [+]
The MS in Islamic Finance is a specialized program that teaches qualitative and quantitative methods in the analysis of both Islamic and conventional finance.The innovative new program has been developed in order to offer students a unique opportunity to enjoy a strong multidisciplinary and interdisciplinary graduate education across a range of core subjects, while also enabling them to pursue specialist study in one of a range of important areas within the field of Islamic Finance. Specialist areas of concentration include, but are not limited to, Banking Operations and Risk Management, and Corporate Finance and Asset Management. The mixed philosophy of the program enables graduates to attain the skills needed to understand the global financial system and proposing viable alternatives to existing models by blending guidance from Sharia with the modern scientific knowledge and techniques of economics and finance. This popular master’s program is one of an extremely limited number of top-tier specialized Islamic Finance programs globally. Program Focus ... [-]
The Master programme includes four semesters of lectures and seminars and an internship. A thorough understanding of risk is necessary to the good management of financial assets. [+]
Goals and Contents
Finance is the area of economics that studies investment decisions.These decisions are fundamental to the well-being of firms and individuals. Investment outcomes are affected by randomness. Investment decisions involve trade-offs between risk and expected return.
The Master programme stretches over two years (120 ECTS) and is structured to allow the students to personalise their study curricula according to their individual interests and educational backgrounds. It includes four semesters of lectures and seminars, and an internship. Typically, in the first semester students attend the foundation courses in order to acquire the basics of finance, accounting and statistics. The second and third semesters arededicated to core courses and electives. The final thesis should show the candidate’s ability to integrate acquired knowledge in the advanced scientific analysis of a topic in finance.... [-]
Want to increase your marketability in the finance field? Kogod’s Master of Science in Finance (MSF) program offers an intellectually sophisticated curriculum that prepares you for leadership positions in the financial sector. MSF classes prepare you for the CFA, CAIA, CFP and FRM exams, arming you with the expertise essential for success. [+]
Want to increase your marketability in the finance field? Kogod’s Master of Science in Finance (MSF) program offers an intellectually sophisticated curriculum that prepares you for leadership positions in the financial sector. MSF classes prepare you for the CFA, CAIA, CFP and FRM exams, arming you with the expertise essential for success.
Farid Sadeeh, MS Finance student, knew Kogod was for him when he met the program’s faculty. “The professors are great. It’s a smaller program, so the faculty knows you by name. They really care what happens to you when you graduate.”
Tim Timura believes Kogod’s Master of Science in Finance (MSF) program is both versatile and practical. “There are a lot of questions and issues that revolve around finance that are part of [a business professional’s] job,” Timura, MSF program director, explains. “We equip students with financial modeling and quantitative tools so they can answer these questions.”... [-]