MSc Program in Finance

Best 371 MSc Programs in Finance 2017

Finance

A Master of Science, or a Master’s degree in Science is an academic degree delivered by Universities in many countries. A Master of Science is a popular choice after completing a Bachelor’s degree.

Students of finance learn about all aspects of money management. The field includes business investments and banking, personal money management, and accounting. Students may keep their education general, or may  choose to specialize early on in areas like personal financial planning or business accounting.

MSc Degree in Finance

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MSc in Corporate Financial Management

De Broc School of Business
Campus or Online Full time Part time 1 - 5  September 2017 United Kingdom UK Online London + 2 more

The MSc Corporate Financial Management is accredited by the Chartered Management Institute (CMI) and is aimed at graduates who have an interest in developing an in-depth specialist knowledge and critical understanding of the key aspects of corporate financial management, and in particular, who are looking to pursue a career in corporate or business finance. [+]

Master of Science Degrees in Finance. MSc in Corporate Financial Management The MSc Corporate Financial Management is accredited by the Chartered Management Institute (CMI) and is aimed at graduates who have an interest in developing an in-depth specialist knowledge and critical understanding of the key aspects of corporate financial management, and in particular, who are looking to pursue a career in corporate or business finance. This degree programme will help you develop a broad comprehension of the most important concepts in finance, with a strategic perspective. It is ideal for those interested in a future career in banking, personal finance, corporate finance or as an accountant, offering an excellent foundation for your career or for further study. As well as gaining a formal qualification, you will build a skills portfolio that you can show to future employers. The MSc in Corporate Financial Management offers two streams, one focused on corporate finance, and one on business finance and performance. You will develop in-depth knowledge of corporate financial management by covering a range of modules in governance, social responsibility, risk management, banking regulation, corporate reporting, finance and performance management. The course is available online or on campus. Course Requirements 2:2 or above from a UK Bachelors degree, or equivalent qualifications. International students additionally require an English language level equivalent to IELTS 6.5 or above with a minimum of 5.5 in each component. Duration 1 year standard (up to 5 years) [-]

MSc Corporate Financial Management

GISMA Business School
Campus Full time September 2017 Germany Berlin

The MSc Corporate Financial Management is designed for those pursuing a career in the world of finance such as banking, corporate finance, personal finance and accountancy. With GISMA, you will also have the opportunity to build on your practical skills, alongside getting a formal qualification. [+]

MSc Corporate Financial Management The MSc Corporate Financial Management is designed for those pursuing a career in the world of finance such as banking, corporate finance, personal finance and accountancy. With GISMA, you will also have the opportunity to build on your practical skills, alongside getting a formal qualification. This programme is designed and awarded by The University of Law, and delivered at GISMA in its campus in Berlin. Early bird discount: up to 20% off if you book before the end of May 2017. Early bird discount: up to 20% off if you book before the end of June 2017. *Free German classes for international students (Only level 1) Course Requirements 2:2 or above from a UK Bachelor’s degree, or equivalent qualifications For non-standard entry requirements, please contact us. English proficiency options: English native speaker /degree obtained in English / IELTS — 6.5 (5.5 minimum in each component) / Work experience is not an obligatory requirement. [-]

MSc in Finance

University of Tampa - Sykes College of Business
Campus Full time September 2017 USA Tampa

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.*... [-]


MS in Accountancy

The University of Notre Dame, Mendoza College of Business
Campus Full time September 2017 USA Notre Dame

The Master of Science in Accountancy program has consistently been ranked in the top ten in the nation. Currently, it is ranked nationally as the sixth “Best Accountancy Program” for 2012 by Public Accounting Report and is open to domestic and international applicants who hold a bachelor’s degree (or its international four-year equivalent) from an accredited college or university with an accounting concentration... [+]

MS in Accounting The Master of Science in Accountancy program has consistently been ranked in the top ten in the nation. Currently, it is ranked nationally as the sixth “Best Accountancy Program” for 2012 by Public Accounting Report and is open to domestic and international applicants who hold a bachelor’s degree (or its international four-year equivalent) from an accredited college or university with an accounting concentration. The AACSB accredited M.S. in Accountancy program satisfies the 150-hour educational requirements adopted by more than 48 states and jurisdictions for certification and licensure as a CPA. The M.S. in Accountancy program is a one-year, two-semester (30-hour) degree program, which is offered on a full-time, traditional academic year basis. Admission is granted on a rolling basis for fall or spring semester entry. Looking for an opportunity to study abroad? During each semester, a two week International Interterm study abroad course is offered. In the fall or spring semester, students have the opportunity to study abroad in China. Objectives These courses have four components: seminars and lectures, field trips (heritage and cultural visits), dialogues and exchanges, and introduction to local language. To learn about the latest political, economic and social developments from experts operating in these regions To have a contextual experience of living and studying in China Financial Reporting and Assurance Services Track The Financial Reporting and Assurance Services Track provides depth in the areas of financial reporting and assurance services, as well as finance. This track is ideal for those preparing for a... [-]

Master of Science in Development Finance

Strathmore Business School (SBS)
Campus Full time January 2018 Kenya Nairobi

Strathmore Business School’s MSc. Development Finance will deal with the main issues associated with the finance of the public and private sectors in developing and transitional economies. The intention is to provide essential skills which equip graduates for successful careers in public finance, bank and non-bank financial institutions, international finance organizations, aid agencies, academic and research institutions and NGOs. [+]

Master of Science Degrees in Finance. Strathmore Business School’s MSc. Development Finance will deal with the main issues associated with the finance of the public and private sectors in developing and transitional economies. The intention is to provide essential skills which equip graduates for successful careers in public finance, bank and non-bank financial institutions, international finance organizations, aid agencies, academic and research institutions and NGOs. The program includes an analysis of both the formal and informal financial sectors, policies to promote financial inclusion, clients’ financial service needs, institutional design and financial reforms. The MSc. Development Finance will also have a strong practice-oriented approach which will be reflected in the use of case studies. The program will also integrate practitioners into teaching and research, as well as an industry-oriented master’s dissertation. Further, the program will aim at a broader level to promote service to society through the provision of quality academic and professional training, as well as human and moral training. Students who go through the program will be expected to have an enhanced commitment to development agenda and public service. It will also aim to provide the most suitable means to improve the moral, social and economic conditions of the person and of society as a whole which is in line with the University’s broader vision. Program Benefits and Outcomes By the end of the program, the learner should be able to: Describe how international business is carried out and its importance in development. Design research that will contribute to... [-]

MSc in Finance

Católica Lisbon School of Business and Economics
Campus Full time 3 - 4  September 2017 Portugal Lisbon

The MSc in Finance is a rigorous and comprehensive program which aims to develop finance professionals with strong ethics and an in-depth knowledge of the field, both in financial investments and corporate finance. [+]

Admissions Period: Fall intake - Admission process for Master programs at CATÓLICA-LISBON will start in February 2017 Please note that late applications from overseas candidates requiring visas will only be considered if their visa request is already being processed. Please contact the MSc Marketing and Admissions Office for further information. Tuition fee: €10.000 (3 semesters) | €11.500 (4 semesters) plus a registration fee of €330 per year Duration full-time: 3 - 4 semesters (international exchange semester is optional (and adds a 4th semester) Languages: English Location: Lisbon, Portugal Delivery mode: On Campus Educational variant: Full-time Link website: http://www.clsbe.lisboa.ucp.pt/pt-pt/masters-science/programs/master-science-finance DESCRIPTION The MSc in Finance is a rigorous and comprehensive program which aims to develop finance professionals with strong ethics and an in-depth knowledge of the field, both in financial investments and corporate finance. The program combines theoretical rigor with a practical, hands-on approach. Students have the opportunity to explore hedge fund strategies, discuss corporate restructuring, empirically test investment strategies, and immerse themselves in private equity or M&A deals. As the only CFA® partner school in Portugal, CATÓLICA-LISBON offers a unique opportunity to obtain the internationally recognized CFA® Level 1 accreditation during the degree. You can also pursue an extra Exchange Semester or a Double Degree at a top international business school. Our graduates pursue high level careers in investment banks, other financial institutions, consultancies, and other major corporations all over the world. WHO SHOULD APPLY Graduates in Business, Economics, or another Quantitative discipline that seek to improve their financial knowledge and... [-]

Master's in Finance (MSF)

Boston College Carroll School of Management
Campus Full time Part time 12 - 20  September 2017 USA Chestnut Hill + 1 more

Whether you are an experienced or aspiring professional, the MSF program at Boston College will help you deepen your knowledge of finance, and broaden your opportunities within the industry. [+]

Master of Science Degrees in Finance. Whether you are an experienced or aspiring professional, the MSF program at Boston College will help you deepen your knowledge of finance, and broaden your opportunities within the industry. The BC MSF offers you a comprehensive curriculum grounded in fundamental economic principles to develop specialized knowledge and skills as well as insights into innovative methodologies. Worldwide, the BC MSF program ranked #17 in the 2015 Financial Times Master's in Finance rankings among pre-experience programs. The Program ranked #2 in the United States. Additionally, U.S. News and World Report ranked the BC MSF #12 among graduate finance programs in 2017. MSF Academics The MSF Program at Boston College is designed to meet the diverse needs of finance professionals, recent undergraduates beginning their careers in finance, and mathematicians, economists, engineers, computer scientists, and others who are considering a new career in the world of finance. Two scheduling options are available: Full-Time: the full-time option allows you to complete the MSF in one full year of study. Full-time students typically take four classes in each the fall and spring semesters, and finish their degrees by taking two classes during the summer. Part-Time: the part-time option offers a flexible schedule, enabling you to earn your degree while continuing to advance your career. Part-time students take two classes per semester on average. At this pace, the total duration of the program will be approximately 20 months. FULL-TIME PROGRAM The MSF Full-Time Track is a full-time program completed in one... [-]

Master in Science in Islamic Finance

INCEIF The Global University of Islamic Finance
Campus Full time January 2018 Malaysia Kuala Lumpur

The MSc in Islamic Finance offers in-depth education in the key areas of Islamic economics, finance and Shariah from both the theoretical and applied aspects. The course modules will enable students to have a comprehensive understanding of the economic, financial and legal environment in which providers of Islamic financial services operate. [+]

The MSc in Islamic Finance offers in-depth education in the key areas of Islamic economics, finance and Shariah from both the theoretical and applied aspects. The course modules will enable students to have a comprehensive understanding of the economic, financial and legal environment in which providers of Islamic financial services operate. The objective of the programme is to produce professionals equipped with expertise in both the conventional finance and Shariah. INCEIF has received approval from Ministry of Higher Education to launch the MSc in Islamic Finance, in lieu of Masters in Islamic Finance (MIF), beginning September 2013. The MSc in Islamic Finance would be awarded to students enrolling from September 2013 onwards. The Malaysian Advantage Experience Islamic Finance in action in the cradle of modern Islamic Finance where strong regulatory support has resulted in a robust industry. Network with Industry Experts In addition to attending regular classes and tutorials, students interact with industry experts during the regular industry talks where invited industry speakers give presentations on the practical aspects of Islamic Finance. Entry Requirements Applicants are required to have a Bachelor’s degree. English proficiency is also a must. Applicants whose native language is not English must have one of the following: Test of English as Foreign Language (TOEFL) with a score of 550; OR International English Language Testing System (IELTS) level 6 Exceptions from English language competency can be given to those whose medium of study at entry level is English. It is essential that all candidates speak write and... [-]

MSc in Finance & Law

University of Strathclyde Business School
Campus Full time 12  September 2017 United Kingdom Glasgow

In today’s unpredictable financial markets, strategic financial decisions and policies frequently need to be considered in relation to various legal requirements and constraints. [+]

Master of Science Degrees in Finance. Why this course? In today’s unpredictable financial markets, strategic financial decisions and policies frequently need to be considered in relation to various legal requirements and constraints. Business people increasingly need to have an understanding of the financial and accounting principles which underpin and inform legal regulation of financial institutions, financial instruments and financial markets. Consequently, finance graduates who also have a strong legal knowledge, will be very attractive to a range of financial institutions and other organisations, both in the UK and overseas. This joint masters programme between the Department of Accounting & Finance and the Law School addresses this skills gap in the global market by introducing students to both the legal aspects of regulation of international finance as well as to principles of accounting and finance. You’ll study The programme comprises both core and optional classes in finance and law. It aims to provide students with a number of key learning outcomes: To understand the core elements of financial theory and corporate financial theory.* To understand key elements in financial law and regulation including the private law in respect of the structuring of individual transactions and the public law relevant to regulation of financial markets and institutions from the perspective of UK, EU and international law.* * Students will have the option of developing skills in various specialist areas in finance or business and commercial law. The programme also facilitates the development of various cognitive skills and non-subject specific skills. You'll learn... [-]

MSc Finance and Management

Muscat University
Campus Full time Part time 1 - 2  September 2017 Oman Muscat + 1 more

The MSc in Finance and Management provides a solid grounding in finance and management principles with rigorous training in relevant tools and techniques, and how to apply them in the workplace. [+]

Programme Details The MSc in Finance and Management provides a solid grounding in finance and management principles with rigorous training in relevant tools and techniques, and how to apply them in the workplace. This degree programme is one of a set of postgraduate programmes designed by Cranfield University and offered at Muscat University. This is a dual degree programme, leading to the award of a Cranfield University degree and a Muscat University degree. Programme Objectives The MSc in Finance and Management aims to: Prepare students for a career in financial services. Provide students with a high level of financial skills. Give students a rounded view of business and its management. Admission Requirements An English-medium undergraduate degree from a recognized university at second class honours level or above. A professional qualification (e.g. CIMA) plus 5 years’ relevant work experience. Exposure to quantitative subjects (Mathematics, Statistics, Engineering, Economics etc.) from previous studies or work experience. A minimum English language proficiency level equivalent to IELTS 6.5. (with a minimum of 6.5 in the writing component) Duration: 1 year / 2 years Study type: Full -Time/ Part-Time Credit hours: 200 Assessment: Taught modules 60%, individual project 40% [-]

MSc Management and Finance

Aberystwyth University Business School
Campus Full time September 2017 United Kingdom Aberystwyth

The Aberystwyth MSc Management and Fianance is MBM accredited by the Association of MBAs. [+]

Management and Finance Masters

 

The Aberystwyth MSc Management and Finance will appeal to students who want to carry a sound grasp of Business Finance into a career in Management. In recent times, the terms on which Businesses can access credit and finance have become more stringent and more difficult to predict. It thus becomes increasingly important that Business Managers and entrepreneurs have a sound and sophisticated grasp of all aspects of Business Finance. On the other side of the fence, this Master’s in Management and Finance will also appeal to students planning a career in the Financial Sector, who want to take with them a good understanding of theory and good practice in the management of people and organisations.The Aberystwyth Master’s programme in Management and Finance will provide you with a solid grounding in business and management, whether or not you have studied them before. It will also furnish you with a very strong grasp of the workings of national and international financial markets and institutions. We aim to give you not only a sound knowledge base; not just an awareness of finance market trends and business opportunities; but, most importantly, a set of analytical and applied skills and strategies which will stand you in good stead throughout your managerial career.... [-]


MSc in Econometrics and Management Science - Specialization Quantitative Finance

Erasmus School of Economics - Erasmus University Rotterdam
Campus Full time September 2017 Netherlands Rotterdam

Do you have strong mathematical skills and do you want to put them to use in the world of finance? Are you looking forward to tackle global issues like the stability of the financial system and solve issues with regard to, for example, risk management and asset allocation? The Quantitative Finance programme covers all main areas in finance that require mathematical econometric techniques. [+]

MSc in Econometrics and Management Science – Specialization Quantitative Finance Finance looked at from an econometric angle Do you have strong mathematical skills and do you want to put them to use in the world of finance? Are you looking forward to tackle global issues like the stability of the financial system and solve issues with regard to, for example, risk management and asset allocation? The Quantitative Finance programme covers all main areas in finance that require mathematical econometric techniques. The programme is highly interactive and brought to you by practising researchers that are involved in prestigious research projects and active advisors in the sector. Their teachings are based on the latest insights and focus on the econometric and quantitative skills to solve poignant financial issues, especially in areas like portfolio and risk management. In the heart of Dutch and international finance This Quantitative Finance programme benefits well from its location: Rotterdam has long been the home of numerous headquarters and key offices of leading financial institutions and firms. Many of these feel a strong connection with us and provide: frequent guest lectures relevant topics for the course Financial Case Studies research internships Careers A Master specialisation in Quantitative Finance comes with excellent career prospects, both in the Netherlands and internationally. Despite the recent turmoil in financial markets, the demand for well-trained quantitative financial economists is still as high as ever and has in some cases even increased. Typically, your future lies with: banks asset management firms hedge funds insurance... [-]

Master in Finance and Economics

University of Southern Denmark
Campus Full time September 2017 Denmark Odense

A Master of Science in Finance and Economics has a broad knowledge and understanding of central financial problems of corporations and households... [+]

Master of Science Degrees in Finance. Master in Economics - Finance and Economics (MSc) A Master of Science in Finance and Economics has a broad knowledge and understanding of central financial problems of corporations and households. The profile gives a deep insight into risk and portfolio management; the pricing of stocks, bonds, and derivatives; the valuation of companies; and the strategic capital budgeting and financing decisions of corporations. The constituent compulsory courses provide a profound understanding of the key issues in finance as well as the methods and models employed to analyze these. The graduates are encouraged to relate their financial knowledge with microeconomic, macroeconomic, or accounting concepts as well as to apply econometric techniques to financial data.... [-]

MSc in Investment and Risk Finance

University of Westminster, Westminster Business School
Campus Full time Part time 1 - 2  September 2017 United Kingdom London + 1 more

This course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, delivered in an intensive learning environment. You will learn how to apply the knowledge and theory you have gained in class to real-world problems facing the international financial services industry and the corporate financial management community. This practical application of investment and risk principles is one of the main strengths of this programme. [+]

This course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, delivered in an intensive learning environment. You will learn how to apply the knowledge and theory you have gained in class to real-world problems facing the international financial services industry and the corporate financial management community. This practical application of investment and risk principles is one of the main strengths of this programme. The learning and skills development is integrated with resources available in our Financial Markets Suite (FMS), a state-of-the-art virtual trading room environment. The FMS is interfaced with the Bloomberg system, a leading source of economics and capital markets information available to the global professional financial community. Provision of this Bloomberg resource, along with the academic and professional career development opportunities are the main reasons why our students prefer to select this programme. Upon successful completion of the course, you are eligible for a student membership of Chartered Institute for Securities and Investment (CISI) – a financial services professional body. Some of the benefits include free attendance at CPD events, accessibility to industry news and online resources. Course content The course has been in existence since 1999 and has continued to evolve to meet the changing educational needs of the investment and risk finance professional. It's delivered by qualified academics and professionals who have worked many years in the industry and are actively engaged in research and consultancy. The course consists of core modules which help you acquire the ability... [-]

MSc Finance and Risk Management

UWL University of West London
Campus Full time September 2017 United Kingdom London

The rising volatility of financial markets, sovereign debt crises, and geopolitical uncertainty, place significant demands on businesses and other organisations to adequately manage the potential impact [+]

MSc Finance and Risk Management

 

The rising volatility of financial markets, sovereign debt crises, and geopolitical uncertainty, place significant demands on businesses and other organisations to adequately manage the potential impact of these risks on the strategic functions of the organisation – especially in its financial management.Therefore, the demand for finance professionals with a competent grasp of risk management principles has never been greater. The programme seeks to accommodate talented graduates with a good first degree and a high level of academic ability, who would benefit from the unique skills and knowledge that the programme would give them – both from an employability perspective as well as in their self-development. The programme also aims to improve the skills of practicing professionals so that they are able to play a senior role in the areas of financial and risk management within organisations.... [-]