Master's Program in Finance in Asia

Best Master Programs in Finance in Asia 2017/2018

Finance

A Masters degree gives you the opportunity to either further your understanding of a particular question or take off in a completely different way using skills you have gained from your previous undergraduate degree.

The field of finance is centered upon money management at all levels. Finance students often study a broad range of subjects from investment banking to personal financial planning. They may focus on a subfield like accounting or business finance right away, or wait to specialize with a graduate degree.

Students who complete a part of their degree in Asia are growing in numbers. Currently, the second and the third biggest economies are in Asia. Without limitation, students have described their time in Asia as the best experience of their lives. Today, three of the four most populated countries of the world are in Asia: China, India, and Indonesia.

Masters Program in Finance in Asia

Read More

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. [+]

Top Masters in Finance in Asia 2017/2018. 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 of Finance

Shanghai Advanced Institute of Finance, Shanghai Jiao Tong University
Campus Full time September 2018 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 Finance Programme

Peking University HSBC Business School (PHBS)
Campus Full time September 2018 China Shenzhen

The Finance program provides specialist training in finance for international students [+]

Top Masters in Finance in Asia 2017/2018. Located in the thriving entrepreneurial city of Shenzhen, China, and immediately adjacent to the financial hub of Hong Kong, Peking University HSBC Business school (PHBS) brings Peking University’s historical presence to the country’s south and lies at the very heart of one of the world's most promising and dynamic metropolitan areas. Few other regions in China offer a more suitable setting for an institution destined to become this country's foremost graduate business school. PHBS Master of Finance is a two year and full-time program, culminating in a final thesis, which focuses on a core curriculum in financial theory and applications, and in which international students learn alongside Chinese peers in an environment of cross-cultural dialogue. The academic year consists of two semesters, with two modules each. Each module runs for nine weeks. In addition, the faculty members have earned their PhD degrees from top-ranked universities over the world, and all courses are instructed exclusively in English. Curriculum This program provides specialist training in finance, modern financial theories, application and methodologies. Finance students also have the comfort of knowing that PHBS Master of Finance courses are recognized by the CFA Institute University Affiliation Program for preparing students for the Chartered Financial Analyst® (CFA) exams. The curriculum is very quantitative based and requires students to have a very high level of mathematical skills. Courses include: Financial Markets, Financial Economics, Applied Econometrics, Financial Markets and Investments in China, General and Business Chinese, as well as elective... [-]

Master of Real Estate in Finance and Investment

Asia Pacific University of Technology & Innovation (APU)
Campus Full time Part time 16 - 60  January 2018 Malaysia Kuala Lumpur + 1 more

This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. [+]

Master of Real Estate in Finance and Investment Today, professionals working in the real estate investment market face many challenges. The global nature of the property market, rapid developments in research tools and business practice, new competition from those operating in the broader investment markets and the development of alternatives to direct property investment all add new dimensions to the role of the property professional in this field. Thus professionals need to enhance their knowledge and skills. This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. 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 designed for those wishing to pursue a career in the real estate investment and finance business. Graduates will be able to perform investment analyses of individual real estate investments and portfolios and conduct market analysis. It provides those from varied professional and academic... [-]

Master of Finance (Financial Economics in Energy and Environment)

PolyU Business School
Campus Full time 1 - 2  Open Enrolment Hong Kong Kowloon

The Master of Finance (Financial Economics in Energy and Environment) (MoF-EEE) programme is suitable for degree graduates, particularly those with no or little work experience, who would like to specialize in the energy and environment areas of the financial industry. This specialism is built on solid economics and finance foundations and provides students with up-to-date business and financial information on the development of energy and environment markets. [+]

Master of Finance - Financial Economics in Energy and Environment (EEE)

The Master of Finance – Financial Economics in Energy and Environment (FT MoF-EEE) programme is suitable for degree graduates, particularly those with no or little work experience, who would like to specialize in the energy and environment areas of the financial industry. This specialism is built on solid economics and finance foundations and provides students with up-to-date business and financial information on the development of energy and environment markets.

Programme Outcomes

On completion of the FT MoF-EEE programme, graduates will be able to:

understand conceptual frameworks drawn from Accounting, Risk Management, Economics, Quantitative Method and Law to the analysis of investment and corporate finance issues. solve asset management/corporate finance problems as they present themselves in real-life situations. formulate financial strategies and policies. demonstrate awareness of the ethical implications of finance/economics-based decisions on energy and environmental issues. ... [-]

Master in Finance

ESSEC Business School
Campus Full time 15  September 2018 France Cergy-Pontoise Singapore + 1 more

The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, and ranked 7th best Master in Finance worldwide by the Financial Times in 2016, is a graduate program tailored to individual needs and goals. [+]

A word from the Academic Director “The increasingly globalized and complex economy creates an additional demand for graduates with a well-recognized expertise in all areas of finance. In addition, corporate financial directors, consulting (advisory) firms, investment banks and financial institutions are in need of in-depth technical knowledge in finance.Career-oriented and internationally focused, the ESSEC Master in Finance is a highly selective and intensive program designed to offer high quality training to high potential students who wish to pursue a career in corporate finance, financial markets, asset and portfolio management as well as risk management. The program has a strong international dimension and teaches students to adapt to a multicultural environment, addressing multinational issues and providing exposure to both Europe and Asia. It offers a global approach to finance with a strong emphasis on the underlying skills necessary to operate in today’s financial professions.” Professor Sridhar Arcot, Academic Director of the Master in Finance. Ph.D. in Finance, LSE, Associate Professor, Finance Department. Academic The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, is a graduate program tailored to individual needs and goals. It offers 3 specialized tracks in Corporate Finance, Financial Markets, and Asset Management. The curriculum is flexible and it is full-time during 15 months. The 90 ECTS credits cover courses, an international study trip and an internship or academic dissertation. Students can choose to enroll the program either on the ESSEC France campus (Cergy, Paris area), or the ESSEC Asia-Pacific campus (Singapore).... [-]

Master in Finance (MFIN)

American University of Beirut - AUB
Campus Full time 14  October 2017 Lebanon Beirut USA New York + 2 more

The MF program can be completed in a 14 month period by students with non-business backgrounds. A minimum of one calendar year of residence is required for graduation for students with business backgrounds. [+]

Top Masters in Finance in Asia 2017/2018. The MF program can be completed in a 14 month period by students with non-business backgrounds. A minimum of one calendar year of residence is required for graduation for students with business backgrounds. In order to fulfill the MF graduation requirements, a student must complete the following on a full -time basis as tabulated below. No project will be required Course Type Credit Hours(Minimum) Core 21 Electives 9 Total Number of Credits Required for Graduation 30 Program Delivery The MF can be completed in three semesters (one year) in accordance with the recommended time frame suggested below for students enrolled in the program on a full-time basis. Admission Requirements - Masters in Finance Normally, there is one admission deadline a year: in February, for enrollment in the fall semester. For more detail, please refer to the Admissions section of the AUB graduate catalogue, under Application Procedures. Criteria For Admission To be eligible for admission to the MF program, a student must hold a Bachelor’s degree and must satisfy the requirements of the University for admission to graduate study. To be accepted into the MF program, the applicant must possess an undergraduate university average in the last two years of study greater than 80 or equivalent. GMAT, GRE and work experience will not be required and the typical student will be a fresh graduate. The program is open to students from other educational backgrounds including engineering, economics, mathematics, statistics and so forth. Students not... [-]

Executive Master in Financial Management

ESA Business School - Ecole Supérieure des Affaires
Campus Full time 16  October 2017 Lebanon Beirut Netherlands Rotterdam + 2 more

Train finance professionals to master and deepen their knowledge of the necessary theories and tools for the evolution of their functions. [+]

XFM: Executive Master in Financial Management

Specialized curriculum in Finance Target: Holder of a university degree Minimum experience: 3 years Language:English

Objective

Train finance professionals to master and deepen their knowledge of the necessary theories and tools for the evolution of their functions.

An international diploma

The Executive Masters in Financial Management is a joint program by ESA Business School and SBA Bocconi, School of Management.

Course structure

Duration: 16 months Organization of courses: once a month - Thursday, Friday and Saturday Schedule:from 9.00 A.M. to 6.00 P.M. Fees

Tuition: 19500 USD

[-]

Masters in Islamic Finance Practice

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

The Masters in Islamic Finance Practice (MIFP) programme is a postgraduate course aimed at producing industry practitioners with global insight, holistic knowledge and cutting-edge expertise in Islamic Finance. [+]

Top Masters in Finance in Asia 2017/2018. Nurturing Future Captains of the Islamic Finance Industry The Masters in Islamic Finance Practice (MIFP) programme is a postgraduate course aimed at producing industry practitioners with global insight, holistic knowledge and cutting-edge expertise in Islamic Finance. It is accredited by the Malaysian Qualifications Agency (MQA), and is designed by renowned international thought leaders, academicians and experts from both conventional and Shariah financial fields, ensuring that scholars graduate with a working knowledge of both disciplines. The course modules cover a wide range of critical topics ranging from wealth management, banking and investment to financial services, ethics and governance. The programme will provide students with a comprehensive and practical understanding of Islamic economics, finance and Shariah as well as the environment in which Islamic Finance players operate within. Benefits of On Campus Study The Malaysian Advantage Experience Islamic finance in action in the cradle of modern Islamic finance where strong regulatory support has spearheaded 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. Online Distance Studies Online students can register and sit for the examinations in Malaysia or elsewhere in the world. E-Learning with study material Each semester, students are provided study and reference material in hardcopy and softcopy. Students are strongly supported through e-learning forums. Similar duration as On-Campus study By taking the full number... [-]

Master in Finance

Taylor’s University
Campus Full time Part time 15 - 18  Open Enrolment 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 'Financial Analyst (CFA Programme Partner)'

Higher School of Economics
Campus Full time September 2018 Russia Moscow

The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English. [+]

Top Masters in Finance in Asia 2017/2018. Programme Overview Founded in 1995 as a structural division of HSE, the Banking Institute has offered a wide range of graduate and post-graduate programmes in the fields of banking, finance, investment, management, and law over the years. These have included special corporate programmes for governmental agencies, private companies, commercial banks, and the Central Bank of the Russian Federation, as well as more than 50 customized programmes and short-term courses. The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English. In 2012, the Financial Analyst Master’s programme was recognized by the CFA Institute, USA as a Program Partner. Two educational programmes of the Banking Institute – MBA in Investment Management and MA Financial Analyst – are currently the only programmes in Russia and the CIS to have been recognized by the CFA Institute as Program Partners. CFA Institute requirements state that CFA Partner Program status is awarded to a limited number of select institutions whose degree programmes cover 75% of the CFA Program Candidate Body of Knowledge™, including ethical and professional standards. To comply with the high CFA standards, the programme is updated annually using actual CFA textbooks and current global... [-]

Advanced Master in Quantitative Finance

Solvay Brussels School of Economics and Management, Université Libre de Bruxelles
Campus Full time 1 - 1  September 2018 Belgium Brussels

A highly challenging one-year programme designed to prepare you for a successful career as a financial professional. [+]

This Advanced Master in Quantitative Finance offers its prospective students an advanced education. Its curriculum consists of a combination of finance, statistics, econometrics, programming and mathematics. This master offers full coverage of financial disciplines such as asset and derivative pricing numerical methods and programming skills. It is oriented to an audience with a quantitative background either by recent education orby professional experience. Join the online information sessions on Solvay Advanced Masters next March 21-22-23, 2017! Register at http://coms.solvay.edu/am-online-infosession

10 PARADIGMS

September 2008 was a turning point in the financial sector, driving it towards new horizons. A shift of paradigm and the emergence of new markets is leading to a radical change in the rules of the game. Complexity is reaching unprecedented levels. And competitiveness is increasing. In this context, financial decision making needs quantitative innovation. Classical modelling techniques are not top performers any longer. New quantitative techniques are needed. Models based on statistics and financial reality. Cutting edge models and methodologies. And last, the financial sector needs ... [-]

Master in Corporate Finance - MCF

Saint Petersburg State University
Campus Full time September 2018 Russia St. Petersburg

SPbU Graduate School of Management (GSOM) is the first business school in Russia to be included in the International FT ranking. This is the only school in Russia that offers the prestigious Joint Degree with CEMS and Double Degree Options with leading universities. [+]

Top Masters in Finance in Asia 2017/2018. Overview SPbU Graduate School of Management (GSOM) is the first business school in Russia to be included in the International FT ranking. This is the only school in Russia that offers the prestigious Joint Degree with CEMS and Double Degree Options with leading universities. This program provides a compulsory semester abroad at top business schools worldwide. The outstanding curriculum and world class professors from SPbU GSOM and all over the world are involved into the study process. Programme outline Compulsory courses: Financial Accounting & Reporting Financial Markets & Instruments Managerial Economics Quantitative Methods in Finance Corporate Finance Risk Management Financial Analysis & Valuation Elective courses: Contemporary Financial Intermediation Introduction to Business Management: Statistics Financial Econometrics Management Accounting Marketing of Innovative Products Cases in Corporate Finance Credits: 120 ECTS [-]

Master in Banking and Finance

Paris-Sorbonne University Abu Dhabi
Campus Full time 1 - 2  September 2018 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. [+]

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. To view the brochure please click here [-]

Master in International Financial and Currency Credit Relations

Nakhchivan State University
Campus Full time September 2018 Azerbaijan Nakhchivan

Currency-financial relations have been related to the development of goods and services in the foreign trade of countries, scientific and technological exchanges, tourism, public and private transfers have taken place in connection with the development of the migration of international capital and movement of investment, the issuance of bonds, finance, economic aid. [+]

Top Masters in Finance in Asia 2017/2018. Master in International Financial and Currency Credit Relations Currency-financial relations have been related to the development of goods and services in the foreign trade of countries, scientific and technological exchanges, tourism, public and private transfers have taken place in connection with the development of the migration of international capital and movement of investment, the issuance of bonds, finance, economic aid. The forms of international economic relations are synthesised, the forms and kinds are used (diplomatic, cultural, sports, etc.) or other transactions in intergovernmental relations. The legal basis of the system is a set of international and domestic law and with the help of it, regulation of currency in international relations, lending and financing are carried out. [-]