MSc Program in Finance

Top 348 MSc Programs in Finance 2019

Finance

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

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MSc in Money, Banking and Finance

University of Exeter Business School
Campus Full time 12 months September 2019 United Kingdom Exeter

If you wish to pursue a career in finance and economics in the international banking sector, our MSc Money, Banking and Finance is an ideal choice. [+]

If you wish to pursue a career in finance and economics in the international banking sector, our MSc Money, Banking and Finance is an ideal choice.

Delivered jointly by the Department of Economics and the Xfi Centre for Finance and Investment, this course focuses on the application of advanced economics and finance theories to commercial money markets and banking.

In order to give you a thorough knowledge of the financial sector the programme also includes intensive computer training in financial databases and software including Thomson Reuters, Bloomberg, IQ, and Morning Star.

You will graduate ready to launch an international career in this dynamic sector.

Programme structure ... [-]

Master in Finance

European School of Economics
Campus Full time Part time 12 - 15 months January 2019 United Kingdom London Italy Rome Milan Florence Spain Madrid + 7 more

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns. [+]

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns.

As part of the Finance specialisation, master students explore:

• classical and contemporary corporate financing approaches with respect to multinational firms in developed and developing markets

• the viability and appropriateness of a corporate mergers or acquisitions through evaluation and analysis

• value assessment and enterprise value

• risk management and different theories and approaches for the multinational enterprise... [-]


MSc Corporate Financial Management

The University of Law Business School Online
Online Full time Part time 12 - 21 months January 2019 United Kingdom UK Online + 1 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. [+]

MSc 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.... [-]


MSc Corporate Financial Management

The University of Law Business School
Online Campus Full time 1 year January 2019 United Kingdom London Germany Berlin + 3 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. [+]

MSc 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.... [-]


MSc Law, Governance, Risk and Compliance

The University of Law Postgraduate Programmes
Online Full time Part time 5 years January 2019 United Kingdom UK Online + 1 more

Building on knowledge already gained from the International Compliance Association's Professional Postgraduate Diploma, the MSc Law, Governance, Risk and Compliance provides a master’s degree with a strong focus on the development of skills and knowledge in the law and compliance field. [+]

MSc Law, Governance, Risk and Compliance

Building on knowledge already gained from the International Compliance Association's Professional Postgraduate Diploma, the MSc Law, Governance, Risk and Compliance provides a master’s degree with a strong focus on the development of skills and knowledge in the law and compliance field. The degree is designed to complement and extend students' ICA Diploma studies, adding master's-level studies in relevant areas of law to areas of study covered in the ICA Diploma. The programme provides the intellectual and practical underpinnings required to enhance an already-established career in the compliance field, as well as a rigorous approach to self-reflection and personal development.... [-]


MSc Corporate Financial Management

GISMA Business School
Campus Full time 1 year October 2019 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. [+]

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 program is designed and awarded by The University of Law, and delivered at GISMA in its campus in Berlin. Free beginner's German classes for all students.

Program structure

The MSc Corporate Financial Management is undertaken in one year (divided into two semesters) with the summer period for your dissertation. Within this program, students are able to select two electives in line with their specialist areas of interest.... [-]


M.S. Finance

Webster University
Campus Full time Part time 18 - 24 months August 2019 USA St. Louis Orlando + 2 more

Understanding financial modeling, mergers and acquisitions and financial business strategy from an analytical perspective can be an invaluable asset toward achieving new career goals. [+]

M.S. Finance

Understanding financial modeling, mergers and acquisitions and financial business strategy from an analytical perspective can be an invaluable asset toward achieving new career goals.

At Webster University, the finance degree programs focus on a quantitative and comprehensive examination of the financial field. Students in the graduate program gain knowledge that can help them measure financial risk and formulate strategies to reduce it, determine the value of financial assets and analyze the financial decisions of a corporation, which can ultimately lead toward career advancement. With coursework in closely related fields of accounting and economics, financial professionals value the undergraduate and graduate programs in Finance as a way to develop skills in corporate finance, investments and financial institutions. Points of Distinction... [-]


Dual MSc & MA in Finance and Investment

London School of Business & Finance
Online Full time Part time 18 months August 2019 United Kingdom UK Online + 1 more

Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance & Investment from the International Telematic University UNINETTUNO in partnership with Geneva Business School, delivered 100% online through the industry-leading educational platform. [+]

Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance and Investment, jointly awarded by the International Telematic University UNINETTUNO and Geneva Business School. You will receive comprehensive training in all aspects of global financial markets, global financial investment strategy and international banking. Graduates will be equipped with the tools required to compete effectively in the world of global finance.

Studying entirely online, you will have access to HD video tutorials, a library of research resources, professional and peer student networks, and student support, all at your fingertips, 24/7. And with the option of a pay-as-you-go fee structure, you can earn your degrees in as little as 18 months.... [-]


Online MSc International Banking and Finance - University of Salford (UK)

Robert Kennedy College
Online & Campus Combined Full time Part time 1 - 3 years Open Enrollment Switzerland Zürich Switzerland Online United Kingdom Salford UK Online + 5 more

This course has been designed specifically to enhance knowledge of the banking and finance industry and improve your employability prospects.You will learn about key challenges in the current global economic environment, consider issues from around the world, and analyse and evaluate problems to identify the best solutions to improve international banking and finance strategies and practice. [+]

3 good reasons to study International Banking and Finance at Salford Equip yourself for a career in the rapidly expanding banking and finance industry Take a Business Innovation Project to enhance your practical skills and experience Develop expertise in Banking and Finance Duration

Minimum 12 months, maximum three years

Course Outline

This course has been designed specifically to enhance knowledge of the banking and finance industry and improve your employability prospects.

You will learn about key challenges in the current global economic environment, consider issues from around the world, and analyse and evaluate problems to identify the best solutions to improve international banking and finance strategies and practice.... [-]


MSc.F in International Finance

Geneva Business School Barcelona Campus
Campus Full time 18 months February 2019 Spain Barcelona

The Master of Science in Finance (MSc.F) with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. Students will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges. [+]

The Master of Science in Finance (MSc.F) with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. Students will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges.

Over the course of the program students will:

Acquire knowledge of international taxation and estate planning.

Learn risk management and gain an in depth knowledge of insurance companies.

Be able to perform a Technical Analysis.... [-]


MSc in Finance

University of Tampa - Sykes College of Business
Campus Full time September 2019 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.*... [-]


MBA + M.S. in Enterprise Risk Management

Luxembourg School Of Business
Campus September 2019 Luxembourg Luxembourg City

This option is designed for professionals looking to learn or update their skills and ability to contribute to enterprise risk planning and execution. This program provides the necessary tools and concepts to plan, prevent and—when needed—successfully respond to disruptions in complex business operations. [+]

About

In collaboration with Boston University Metropolitan College (BU MET), Luxembourg School of Business (LSB) has designed a new program enabling eligible students to earn both an MBA at LSB and a master of science at BU MET. By combining the LSB MBA with the BU MET master’s degree, you may acquire a more specialized set of competencies in a specific field of interest, including project management, enterprise risk management, and global marketing management. Students enrolled in this program will have the opportunity to complete both degree programs simultaneously.

This option is designed for professionals looking to learn or update their skills and ability to contribute to enterprise risk planning and execution. This program provides the necessary tools and concepts to plan, prevent and—when needed—successfully respond to disruptions in complex business operations. ... [-]

Master of Science in Quantitative Finance and Risk Analytics

Rensselaer Polytechnic Institute, Lally School of Management
Campus Full time 1 year August 2019 USA Troy

Quantitative Finance is the quantitative analysis of financial markets and decision-making using statistics and mathematical tools of physics, computer science, and engineering. [+]

Quantitative Finance is the quantitative analysis of financial markets and decision-making using statistics and mathematical tools of physics, computer science, and engineering.

Risk Analytics is the application of computational technologies, statistics, and operations research to solve problems of risk assessment and management in finance and business. As global markets become more complex and interdependent, the importance of “quants,” or managers who know how to use quantitative models to understand markets, is growing.

Master of Science in Quantitative Finance & Risk Analytics (QFRA) Students will: Master cutting-edge financial theory and advanced analytical techniques; Study emerging concepts, practices, and techniques in the finance industry; Conduct empirical research and modeling; Utilize a variety of professional databases and computer software; STEM Certified. ... [-]

MS Finance

Kogod School of Business, American University
Campus Full time September 2019 USA Washington

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.”... [-]


Master of Science in Finance

School of Business, Economics and Law at the University of Gothenburg
Campus Full time 2 years August 2019 Sweden Gothenburg

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 programs from professional financial vendors and investment banks. To this end, the program 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 program 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.... [-]