Master's Program in Finance in Asia

Best Master Programs in Finance in Asia 2017

Finance

A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.

 

Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.

As the largest and most populous continent in the world, Asia consists of a wide variety of ethnic groups, cultures, environments, economics, historical ties, and governmental systems.

Masters Program in Finance in Asia

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Master of Finance

Hult International Business School
Campus Full time August 2017 USA Boston San Francisco United Kingdom London United Arab Emirates Dubai China Shanghai New York + 8 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. [+]

Top Masters in Finance in Asia 2017. 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 within the finance function of multinational companies. What you’ll learn Smart financial management decisions maximize shareholder and company value and limit risk. The role of the CFO and the company’s finance team is to optimize financial performance. They do this by looking for ways to fund investments, free up capital, and decrease costs. By understanding the nuts and bolts of the business and what drives the numbers, they also advise on which activities drive profitable growth. The Master of Finance degree is designed to give students this breadth of insight. Why Hult? At Hult’s Boston campus, you’ll be living among some of the brightest minds in the fields of accounting, investment management, and consulting with companies like PwC, Ernst &... [-]

Master In Financial Markets

EAE Business School
Campus Full time September 2017 Spain Barcelona

The Master in Financial Markets is designed to prepare financial managers who can cope with economic change and necessary advance solvency demanded by today's organizations. [+]

The Master in Financial Markets is designed to prepare financial managers who can cope with economic change and necessary advance solvency demanded by today's organizations. Financial professionals that are flexible, direct and lead teams know, have the skills to create value at all times capacity, allocated and distributed financial resources in the most efficient manner possible and, above all, contribute to the management of the company in achieving its objectives thanks to its strategic vision. In short, professionals who need to support their knowledge and professional qualification with an official accreditation, for which the procedure is designed our Masters. Five Reasons for the Master in Financial Markets SEA: It is the best Masters taught finance at Barcelona and third best master finance Spain according to the ranking "250 best masters" made ​​by El Mundo in 2015. The program prepares to pass the certification exam EFA (European Financial Advisor) EFPA (European Financial Planning Association), the leading European association of financial professionals. The Master of Finance more focused on career development. The program incorporates the realization of curriculum practices in companies in the banking and finance sector. The most complete and practical program. Updated annually, includes a simulator Stock Exchange and the creation of a Plan of Banking and Financial Markets. EAE is one of the top 30 business schools in the world (Ranking 2014 America Economia) and the second most reputable school of business Spain (Ranking Merco 2015) With the Master in Financial Markets you will learn about: STRATEGIC DECISIONS: Optimize... [-]

Master of Finance Programme

Peking University HSBC Business School (PHBS)
Campus Full time September 2017 China Shenzhen

The Finance program provides specialist training in finance for international students. The master's degree in the finance program focuses on a core curriculum in financial theory and applications. [+]

Top Masters in Finance in Asia 2017. The  Finance program provides specialist training in finance for international students. The master's degree in the finance program focuses on a core curriculum in financial theory and applications. This is a two year, full-time program in which international students learn alongside Chinese peers in an environment of cross-cultural dialogue. All courses are instructed exclusively in English, as is all academic support provided by faculty, TAs, and staff members. The faculty members of this program have earned their PhD degrees from top-ranked universities over the world.  *The Masters of Finance program curriculum is very quantitative based and therefore requires students to have a very high level of mathematical skills.  It is recommended that students who apply for this program have an undergraduate degree in a related or quantitative field such as economics, finance, mathematics, engineering, etc.     Program Objectives This program aims to develop in students the modern financial theories and methodologies, and a comprehensive understanding of financial performance and management. The Finance program prepares students for a variety of careers, such as chief financial officers, risk management specialists, corporate fund managers and more. This program also enables the students to pursue PhD degrees or carry out research in related concentrations in finance.   Degree Requirements  To obtain a Master of Finance degree from Peking University HSBC Business School, students are required to fulfill 54 credits (including 9 required courses, 6 major elective courses and 2 general elective courses), complete 2 required courses that do... [-]

Master of Finance

Shanghai Advanced Institute of Finance, Shanghai Jiao Tong University
Campus Full time September 2017 China Shanghai

The Master of Finance program started in 2009. The objective of the program is to deliver to students modern financial theory, sophisticated quantitative tools and practical knowledge of the [+]

Master of Finance

SAIF’s mission is to become a world-class institution of research and advanced learning in finance and management. Shanghai Advanced Institute of Finance (SAIF) was established at Shanghai Jiao Tong University (SJTU) in April 2009. SAIF combines the best of Western and Chinese education systems along with exceptional resources and faculty to offer a world class education on the campus of one of China’s top universities. While the program has a strong global focus, it is unique in that it is also accepted domestically by the Ministry of Education as an officially acknowledged degree. As a member of the world’s financial community, SAIF strives to contribute to the development of Shanghai as a global financial center. In working towards this goal, SAIF plays many different roles such as being a global talent and research center, a hub for interaction amongst academic, industry and government leaders, and a symbol of innovation and impact widely recognized by the media and leading financial professionals. The Master of Finance (MF) program has been the flagship program at SAIF since it first matriculated students in the fall of 2009. As a two-year full-time program, MF program provides students with a consistent and sustainable competitive advantage in the increasingly global economy. Program Highlight Globally-Renowned Faculty By October, 2015, we have 25 full-time professors and 34 special term professors. These numbers continue to grow. 100% of our faculty members hold a Ph.D. degree from top global universities. 74.6% of our professors are or have been... [-]

Master of Science Degree Course

Higher School of Finance and Management of the Russian Academy of National Economy and Public Administration
Campus Part time 2 - 3  September 2017 Russia Moscow

Master of Science Degree programmes of the SHFM is the second higher financial education meeting the International standards of learning experience. [+]

Top Masters in Finance in Asia 2017. Master of Science Degree programmes of the SHFM is the second higher financial education meeting the International standards of learning experience. MS DEGREE PROGRAMMES OF SHFM ARE THE SECOND HIGHER FINANCIAL EDUCATION OF HIGH QUALITY Career guidance and employment guarantee. Comprehensive course for generalist financial managers. Employment in foreign and domestic corporations. Respectable salary and prearranged career development. The latest knowledge in economics. International standards of economic activity. Applied Corporate Finance. Investment and financial analytics of international standing. Financial English. ICFE Diploma of the University of Cambridge. Foreign certificates and diplomas. State diploma of higher education, as well as diplomas and certificates of international universities, ICFM, ICFE. INTERNATIONAL OPPORTUNITIES: Integrated overseas training modules Corporate Finance, jointly with the University of Portsmouth, UK Budgeting and Controlling, jointly with DMAN (German Academy of Management) The joint programme with Solvay Brussels School (2 diplomas awarded) International Certificates of Training A diploma of the Institute of Certified Financial Managers (ICFM in IFRS), Cambridge University Certificate in Financial English (ICFE). Focus area: Management A “Master of Management” degree state diploma is awarded The Programme goal - is to prepare financial managers- generalists, portfolio and risk managers and consultants to work in financial services of domestic and foreign companies. Competencies: IFRS: development and presentation of financial statements; General, strategic and functional management; Capital budgeting and investment solutions; Global economy and finance; Corporate and derivative financial instruments; Real options and strategic alternatives; Diagnostics and due diligence of financial policy; Value... [-]

Master of Applied Finance

Macquarie University
Campus Full time Part time January 2018 Australia Sydney Melbourne North Ryde Singapore Buona Vista area China Beijing + 7 more

Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced... [+]

Master of Applied Finance

Macquarie University’s Master of Applied Finance offers genuinely applied finance, taught in Sydney and Melbourne CBDs by highly experienced practitioners. It is portable across teaching locations, assists students preparing for CFA examinations and explores funds management, corporate finance, risk management, and instruments and valuation.

Key features

Gives you strong industry connections through educational partnerships with CFA and PRIMA and an outstanding alumni network Ensures you are taught by highly experienced practitioners Focuses on real-world finance Offers a wide range of elective units Provides a flexible and portable program in a convenient city location ... [-]

Master in Finance (MiF)

Sabanci University
Campus Full time 10  September 2017 Turkey İstanbul

The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. [+]

Top Masters in Finance in Asia 2017. Masters in Finance (MiF) Program The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. In addition to theoretical foundations, students enrolling in MiF acquire practical knowledge in finance, as well as hands-on training in our state-of the-art Center for Applied Finance Education (CAFE) facility. This unique center in the region is equipped with cutting edge technology and software, creating an up-to-date learning environment for students. Guided by an Advisory Board composed of accomplished finance professionals, our program aims to furnish students with the essential skills of a modern finance specialist. The curriculum consists of a variety of courses in corporate finance and investments, as well as “tools” courses such as financial econometrics and programming. The internship requirement in the later stages of the program helps students apply their acquired knowledge to everyday operations in the finance industry. Practicum seminars provide students continuous contact with the industry and help them plan their careers. These distinguishing aspects of the program serve to fulfill our shared vision, which is to develop the future leaders of the finance industry. Curriculum The Masters in Finance program is designed with a goal of furnishing our students with all of the essential skills for a career in finance. The program delivers a strong theoretical basis, without losing focus on practical applications, and a financial toolbox that provides our students an edge in their careers. The program is enriched with seminars and workshops,... [-]

Master in Finance (by Coursework)

Taylor’s University
Campus Full time Part time 15 - 18  March 2017 Malaysia Subang Jaya + 1 more

Gain a competitive edge through in-depth training and applied knowledge. With MFin, you’ll gain comprehensive training and highly [+]

With Master in Finance, you’ll gain comprehensive training and highly marketable skills towards a privileged position in the finance industry. The course provides a solid understanding of financial management principles and their application to corporate financial policy, as well as financial markets. Master in Finance also focuses on equipping you with the appropriate skills for analysing and interpreting developments in financial practice. The programme aims to enhance graduate capabilities through: Extensive applications of finance theory Detailed knowledge of the operations and activities of financial markets A practical and career-oriented programme Enhanced knowledge of financial management principles and application to corporate financial policy A thorough understanding of financial markets An applied knowledge of various specialised aspects of the finance industry The Master in Finance will normally be completed in 18 months of part-time study or the maximum time permitted for completion is 5 years. Our Master in Finance is designed to provide students with the flexibility of working full-time and the ability to complete a postgraduate qualification without disrupting their current employment. Who should apply? Open to those interested to pursue a career in the finance industry and who have studied finance in an undergraduate degree. Graduates of the Master in Finance will have the capabilities to work in professional practice by applying the skilled and specialised financial knowledge as mentioned in the aim of the programme. [-]

Master in Integrated Microfinance Management (IMM)

Universitas Padjadjaran
Campus Full time June 2017 Indonesia Bandung

This International Master Course is an international class, and is leading up to a Master’s Degree from Universitas Padjadjaran together with the IMM International Certificate from Leiden University on the basis of completion of the regular International Workshops and Seminars in the course [+]

Top Masters in Finance in Asia 2017. Master Course on Integrated Microfinance Management (IMM) A new Master Course on ‘Integrated Microfinance Management’ (IMM) has officially been opened on the 19th of September 2011 and started on the 2nd of January 2012 at the Magister Management Graduate Program of the Faculty of Economics and Business of Universitas Padjadjaran (MM FEB UNPAD) in Bandung, which has been developed by the The Leiden Ethnosystems and Development Program (LEAD) of Leiden University in The Netherlands in collaboration with UNPAD and the other Members of the International Consortium for Integrated Microfinance Management (ICIMM), including Gerakan Masyarakat Pengembangan Keuangan Mikro (GEMA PKM) in Indonesia and the Mediterranean Agronomic Institute of Chania (MAICH) in Greece. The development of this new Master Course has been financially supported by the Netherlands Ministry of Economic Affairs. LEAD is an interdisciplinary program based in the Faculty of Science of Leiden University and a Member of the Microcredit Summit Council of Educational Institutions. The new Master Course has attracted the interest of not only Government Agencies (GAs), Non-Government Organizations (NGOs), Financial Institutions (FIs), Microfinance Institutions (MFIs), Banking and Non-Banking Institutions (B&NBIs) and Integrated Microfinance Institutions (IMFIs) in newly-developing countries, but also of the United Nations Capital Development Fund (UNCDF), a UN organization specializing in microfinance and local development around the globe. About The Program This International Master Course is an international class, and is leading up to a Master’s Degree from Universitas Padjadjaran together with the IMM International Certificate from Leiden University... [-]

Finance, Risk And Control (ms Frc)

Audencia Business School
Campus Full time 12 - 15  September 2017 France Nantes

The Master program Spécialisé®en Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. [+]

Exploration 360 Financial Markets The Spécialisé® Master Program in Finance, Risk and Control harmonizes throughout the curriculum to balance theory and applied transversal projects. Corporate Finance (45%) Measure, analyze and improve financial performance Financial Cycle Profitability Value Creation Financial Analysis Investment Financial flows Finance market (35%) Develop sophisticated financial strategies tailored to the needs of modern globalized economies Financial globalization Generation financial products Foreign exchange market organization Functioning of market halls Process Management Control of financial institutions Risk Management (20%) Understanding the functioning of markets, risk analysis and control issues Type of risks in financial markets Statistical process control Evaluation of financial assets Mathematisation risk Portfolio management 4 to 6 months corporate internship In parallel courses and projects, a module dedicated to the personal development where everyone is accompanied individually throughout the year to prepare for APPLY, build a career plan, preparing her career, choose a course and prepare his professional thesis The trading room An outstanding opportunity to put daily in real situations One of the main strengths of Spécialisé® Master in Finance, Risk and Control is undoubtedly the trading room. This valuable tool at the disposal of the privileged circle are the students in the program and thus makes this unique Master. His unlimited access indeed allows them to organize themselves to use the trading room and search for useful information in the development of analysis. The professional thesis: a guarantee of expertise for employers The graduation of Master Spécialisé® assumes defense of a professional thesis. This is... [-]

Master of Islamic Finance and Banking

Asia Pacific University of Technology & Innovation (APU)
Campus Full time 16  September 2017 Malaysia Kuala Lumpur

This programme of Master in Islamic Banking and Finance aims to produce graduates that are competent, possessing both in depth knowledge and a wide range of skills in Islamic Finance, banking and investment, making them capable of meeting the growing needs of industry, research and education in Malaysia and worldwide. [+]

Top Masters in Finance in Asia 2017. Master of Islamic Banking and Finance This programme of Master in Islamic Banking and Finance aims to produce graduates that are competent, possessing both in depth knowledge and a wide range of skills in Islamic Finance, banking and investment, making them capable of meeting the growing needs of industry, research and education in Malaysia and worldwide. This programme is also to support the vision and ambition of the government of Malaysia to make Malaysia a centre of innovation and excellence in the Islamic financial world. Admission Requirements Bachelor’s degree with minimum CGPA of 2.50 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent but for CGPA below 2.50; can be accepted provided that the candidates must have 5 years working experience in relevant field. Graduates of equivalent qualifications who have several years of relevant industry experience. Evidence of satisfactory English language skills is required for candidates where English is not their first language, such as IELTS 6.0 or above or TOEFL 550 or above. Who should attend This programme is specifically designed to produce professionals equipped with expertise in both the conventional finance and Shariah for a career in the banking services or investment as well as any Islamic financial institutions. It is also for those executives and managers desiring specialisation in Islamic banking and finance in order to assist personal development and career advancements in the banking and finance industry. The Benefits of This Programme On successful completion of... [-]

Master of Finance Antwerp / New York City

Antwerp Management School
Campus Full time 12  August 2017 Belgium Antwerp

A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. [+]

Master in Finance A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. Why follow this program at Antwerp Management School? The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. It is possible to obtain a Dual Master Degree in Finance in the space of a single year. For 10 months, from September until June, you will be studying at the Antwerp Management School (in Belgium). After successfully completing this, you will be awarded the degree of “Master of Finance” from Antwerp Management School. Subsequently you can go to New York in July & August to take 3 financial courses at Fordham Graduate School of Business in the center of Manhattan. Successfully completing this course will yield the “Master of Science in Global Finance” degree from Fordham Graduate School of Business. Eduniversal Master Ranking 2014-2015: TOP 100 - Global ranking Ranked N°57 in Financial Markets, Worldwide What can you expect? Content level: deepening expertise After attending this program You will have a sturdy background in analytical and practical decision making You will possess a skillset ranging from corporate finance decisions to portfolio management and derivative pricing. You will have a thorough understanding of the theory and concepts of all major areas of financial management and their strategic implementation. Dublin Descriptors and Learning outcomes Master of Finance Dates Start:... [-]

Master in Financial Management

Novosibirsk State University
Campus Full time September 2017 Russia Novosibirsk

The program is oriented on the international educational trends in the field of financial management and aimed to provide the student with a wide range of competences in finance relevant to an international context. [+]

Top Masters in Finance in Asia 2017. Description Master program in Financial Management is based on three necessary preconditions: The program is oriented on the international educational trends in the field of financial management and aimed to provide the student with a wide range of competences in finance relevant to an international context. While studying the program, these competences can be applied to Russian experience (either within the disciplines or research work), which is to be considered a a special case, though providing comparative advantage for career prospects in Russia; The program is developed together with leading professionals in finance. Its applied tendency is supported due to close cooperation with companies, institutions and practitioners both in teaching and research supervision; The basic part of the program corresponds to the requirements of Russian Federal Educational Standards for Masters in Managements, while its variable part allows to form program-specific competences. The structure of the variable part of the program is formed around four essential topics: company finance; financial markets and related issues; financial infrastructure; risk assessment and management. Program goal Aim of the MEP «Financial Management» is to train highly qualified analysts and decision-makers in the field of company’s finance, who are ready to provide financial analysis and financial strategy with regards of internal company’s strategic factors, company environment and stakeholders. Along with specific design the MEP is tailored to meet all the requirements of the state educational standard in the field «Management». Duration of study Two academic years Language of instruction... [-]

Master in Banking and Finance

Paris-Sorbonne University Abu Dhabi
Campus Full time 1 - 2  September 2017 United Arab Emirates Abu Dhabi

The Master’s degree in Banking and Finance prepares students for global careers in Banking and Finance by highlighting the substantial range of wealth management issues and their solutions that sway global financial markets. In today’s dynamic and volatile economy, financial institutions play a crucial role. Recent changes in the international financial landscape have had a major impact on global economies. This degree introduces the core frameworks of the global economy and global institutions. Students will improve their awareness about the theoretical models of economics, pricing securities, capital markets and treasury management at micro- economic and macro-economic levels, as well as their influence on policy issues. Programme content also includes banking regulations, monetary policies during phases of financial distress in emerging and developing markets, credit risks, derivative instruments, budget analysis investment analysis and economic forecasts. [+]

Overview The course structure is designed to ensure that students will emerge as skillful thinkers and problem solvers. Students will refine their skills in communication, negotiations and decision-making. Through constant interaction with their peers, students will hone their abilities to work together as a team. The combination of intensive learning and practical application will sharpen skills, boost performance and ensure students are well positioned for a rewarding career. Supported of Paris-Descartes University professors and external working professionals, this Master degree in Banking and Finance, allows students to gain access to faculty and professionals who have achieved worldwide acclaim. Beyond lectures and seminars, students can participate in workshops organised by industry professionals and prominent personalities from the finance departments of distinguished corporations. STRUCTURE The degree in Banking and Finance is taught in English and covers a total of four semesters across two years, starting in September. At the end of this degree, you will have 120 credits. The exclusively designed course schedule includes classes over short periods in consideration of students who intend to combine their studies with work and working professionals. [-]

Advanced Master in Finance

ESCP Europe Business School
Campus Full time 30  January 2018 United Kingdom London France Paris + 2 more

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Top Masters in Finance in Asia 2017. Studies at Paris and London campuses. Scientific Director: Prof. Philippe Thomas Objectives of the programme The MS Finance’s goal is to shape finance experts in corporate and market finance able to rapidly evolve in an international work environment. The full-time format of the programme allows after a short but dense education period to immediately access managerial and high-ranked positions in the finance world. Career opportunities Graduates work in all positions available in the world of finance: Sales, Traders, Market Makers, Structured Finance Equity Research Analyst, M&A Analyst, ECM, DCM, Private Equity, Leveraged Finance CFO, Consulting, Inspection Curriculum After a knowledge update in Maths and Accounting, the programme in structured in two terms. A combination of theory classes and of live practical cases: 8 week in Paris dedicated to core courses teaching fundamental finance tools Introduction to Finance Financial Economics Financial Analysis and Evaluation Mathematical Theory of Arbitrage Financial Theory Financial Decision Quantitative Methods and VBA 18 weeks (including 15 weeks on ESCP Europe London Campus) dedicated to one of two specialisations: Corporate Investment Banking Financial Markets Time spent on campuses 1 term in Paris – 1 term in London Class Profile Economics/Finance: 53% Business: 19% Engineering: 18% Law: 7% Other fields (Political and Life Sciences: 3% 36% international students 30% women, 70% men Language requirement French and English Duration 1 year (Start in September) Job Survey 78K€ is the average salary after the MS. Less than 3 months after graduation 79% are employed.... [-]