Best Master of Science Programs in Finance in North America 2019/2020
Msc stands for Master of Science. It is a postgraduate educational master's degree given by universities in a wide number of nations. The degree is typically studied for in the sciences and occasionally in the social sciences.
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.
Master of Science Degree in Finance in North America
The Master of Science in Finance (MS) program is a rigorous 30 credit immersion in the quantitative and analytical methods and tools used throughout the financial sector.
Master of Science in Finance | 1- or 2-Year Program
The Master of Science in Finance (MS) program is a rigorous 30 credit immersion in the quantitative and analytical methods and tools used throughout the financial sector.
Building on Drew’s two decades of success with our unique Wall Street Semester and strong ties to the financial services industry, MS students receive the training and credentials needed to succeed in careers in a variety of organizations, including banks, financial firms, global corporations, government agencies, and nonprofits.
Unique to the Drew MS in Finance program, participating students will have opportunities to apply their knowledge and skills through financial internships, in the real world, after completing classroom coursework. Likewise, Drew’s co-curricular programming includes guest lectures and trips into NYC to visit financial firms, regulators, and even nonprofits centered on promoting ethical financial behavior and financial literacy....
Getting your Master of Science (M.S.) in Finance from Webster University will help you navigate the increasing complexities of banking laws, compliance regulations, finan
Getting your Master of Science (M.S.) in Finance from Webster University will help you navigate the increasing complexities of banking laws, compliance regulations, finance products, corporate finance, forecasting, evaluation, and more.
Our Master of Science in Finance will provide the opportunity to develop and implement your critical-thinking skills to solve complex financial problems in real-life financial situations. The curriculum will help you gain advanced technical knowledge and skills while performing financial analysis using the most up-to-date quantitative concepts and techniques.
Students learn to interpret financial statements that adhere to current standards; analyze investment and financial risk; evaluate financial theory and practices and how to apply legislation, regulations, or principles of practice to financial scenarios....
The Master of Science (MS)* in finance is designed to provide a quantitative and comprehensive examination of the finance field. Students will advance through corporate f
Master of Science in Finance
The Master of Science (MS)* in finance is designed to provide a quantitative and comprehensive examination of the finance field. Students will advance through corporate finance, investments, and markets and institutions. Additionally, students will experience significant exposure to supporting coursework in the closely related fields of accounting and economics. A capstone experience will tie together the major finance topics, with a significant focus on mergers and acquisitions, and will expose students to literature, and the analysis thereof, pertinent to the field.
After a comprehensive examination of the field, students may choose their electives to satisfy their specific career goals. Students desiring to take advanced certification, such as the CFA (Chartered Financial Analyst) or CFP (Certified Financial Planner), will want to take advanced courses in Derivatives, Financial Statement Analysis, Advanced Investments and Portfolio Management, while students interested in pursuing careers in other fields may want to take Entrepreneurial Finance or similar advanced topics offered by the George Herbert Walker School of Business & Technology....
Want to increase your marketability in the finance field? Kogod’s Master of Science in Finance (MSF) program offers an intellectually sophisticated curriculum that prepar
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.”...
Georgia State University - J. Mack Robinson College of Business
The MS in Finance program at the Robinson College of Business at Georgia State University! Our innovative STEM-certified program, which ranks 15th globally and 6th among
The MS in Finance program at the Robinson College of Business at Georgia State University! Our innovative STEM-certified program, which ranks 15th globally and 6th among public universities in the TFE Times’ list of 2019 Best Master of Finance Programs, features outstanding teaching, hands-on training, and signature experiences to enhance your human capital and make you a highly attractive and marketable job candidate to employers in the industry.
Highlights of our program include:
Cutting-edge curriculum. Our STEM-certified program features curriculum developed with a forward-looking focus on the technological innovation and quantitative skills demanded by the ever-evolving finance industry. In addition to an excellent foundation in financial economics, our students are trained in programming and the use of state-of-the art software for data analysis. Students will have hands-on experience on the development of data analytics applications to analyze real-world financial problems.
Flexible program of study. We offer a highly flexible program of study, allowing students to choose from a range of electives to fit their career goals. We offer specializations in financial analytics, Fintech, corporate finance and investment banking, asset and wealth management and investments, and private equity and venture capitalism.
Unique access to the business world. A large, diverse, and cosmopolitan city that is headquarters to many Fortune 500 companies, Atlanta has an active entrepreneurship ecosystem and is rapidly becoming a FinTech capital. Our students are trained in financial leadership by a two-time Fortune 500 CFO and also have direct access to finance industry leaders through our mentoring...
Fast track (3 semesters) degree program from a globally recognized and highly ranked University with a proven record in technology and research.
Program graduates typically have careers in Investment Banking, Financial Consulting, Proprietary Trading, and Brokerage Firms. Positions include Banking Specialist, Computer Analyst, Data Scientist, Financial Engineer, Trader, and Quant. Graduates land jobs with prestigious companies such as: Akuna Capital, CME Group, Deloitte, Ernst & Young, Goldman Sachs, InterContinental Exchange, and MorningStar. Students in the program receive individualized career development support through Engineering Career Services in the form of one-on-one advising, Career Training programs, networking events, and access to more than 200 companies who recruit on campus each year. In addition, our students can also access events hosted by the Business Career Center....
Rensselaer Polytechnic Institute, Lally School of Management
Quantitative Finance is the quantitative analysis of financial markets and decision-making using
statistics and mathematical tools of physics, computer science, and engin
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)
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;
Georgetown University's Master of Science in Finance (MSF) online program takes today's best financial professionals and transforms them into rising leaders in their prof
Georgetown University's online Master of Science in Finance (MSF) program, transforms today's best professionals into rising industry leaders. Created by the distinguished faculty of the McDonough School of Business, this world-class curriculum and revolutionary online learning platform deliver the essential skills to take your finance career to the next level.
As an MSF student, you learn firsthand from a faculty of accomplished scholars and teachers. Our program provides working professionals, from anywhere in the world, the opportunity to deepen their business and technical finance skills and experience a Georgetown University education where the faculty is committed to high-quality teaching....
The MS Finance program draws on real-world applications and access to the top minds in finance, complementing studies in the classroom to create a holistic learning exper
The MS Finance program draws on real-world applications and access to the top minds in finance, complementing studies in the classroom to create a holistic learning experience. These intensive studies will further develop your abilities in critical thinking, analysis, and problem-solving. Small Class sizes offer students unparalleled access to faculty.
1. STEM Certified Program
Krannert’s MS Finance program lives up to Purdue’s long history of science and engineering leadership by offering an education that is rich in analytical reasoning, statistical insight, and pragmatic business acumen. Its analytics-focused curriculum makes Krannert’s MS Finance Program one of the few MS Finance programs in the U.S. that are STEM certified. Graduates of Krannert MS Finance program are eligible for STEM OPT extension that allows them to work in the U.S. for 3 years after graduation....
Finance students are prepared for careers in private industry and government in such areas as banking, brokerage, individual and institutional investments, insurance, fin
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.*...
Saint Joseph's University, Haub School of Business
This program provides you with the tools, theory, and practical knowledge to engage in professional financial planning services and financial analysis. In addition, seven
AACSB accredited and CFP® Board Certified
This innovative graduate program provides professionals like you with the tools, theory, and practical knowledge to engage in professional financial planning services and financial analysis. In addition, seven courses within the MSFS Program have been certified by the CFP® board to satisfy the requirements of the CFP® certification examination.
Saint Joseph’s University offers you the flexibility of online classes or on-campus evening classes so you can study without interrupting your career. What’s more, our staff, faculty, and students are united in the Jesuit ideal of cura personalis, care for the whole person, and are dedicated to helping you succeed in the classroom as well as in life....
The ERM degree is aligned with industry-recognized certifications and addresses key professional competencies, including enterprise risk management, financial sector anal
Organizations need to have a thorough understanding of business risk to optimize return on investment. Risk management professionals are critical to researching, analyzing, and managing the risk management process. Through foundational work on frameworks and modeling combined with real-world projects, the 30-credit master's in Enterprise Risk Management (ERM) at the Katz School puts students on the track for management positions in a variety of industries.
The ERM degree is aligned with industry-recognized certifications and addresses key professional competencies, including enterprise risk management, financial sector analysis, statistics, and analytics.International Students may be eligible for Optional Practical Training (OPT), allowing you to work in the United States for up to 36 months....
The financial world is the foundation of the global economy, and that world is rapidly evolving. Organizations of all kinds need resourceful finance professionals who can
Best MScs in Finance in North America 2019/2020. Master the Financial Side of Business
The full-time Master of Science in Finance (MSF) at Babson provides in-depth financial and quantitative knowledge. Match that with sophisticated problem solving, practical application, ethical judgment, and professional development and communication skills for a well-rounded degree. Your MSF cohort comes from all undergraduate and graduate backgrounds. During your electives, expand your network by taking classes with more experienced MBA and master’s degree students. Develop strong relationships with faculty and advisors, who are here to support you with individualized mentoring.
Fast Track: Earn 30 credits in nine months (two-semester option) or 16 months (three-semester option)....
Syracuse University - Whitman School of Management
Our MS in Finance, a STEM designated program, requires completion of 30 credits. The program is designed to be completed in one academic year on a full-time basis but can
MS in Finance Program, a STEM Designated Program
Every aspect of the Whitman M.S. in finance program is designed to prepare you for success both during your time of study and throughout your career. A few of the many program benefits include:
Access to current market data, live news feeds, software for analysis and other resources used by professionals in the field
Preparation for Bloomberg certification and professional exams, such as CFA, FRM andCAIA designations
Participation in case and analysis competitions and Wall Street Prep Seminars
Established relationships between Whitman’s dedicated Career Center and prestigious firms, including JPMorgan Chase & Co., Morgan Stanley, Citigroup and Bloomberg
Over the course of three semesters of study, the students in the program receive rigorous training in mathematics, especially in the area of probability and stochastic ca
Master of Science in Mathematical Finance
Over the course of three semesters of study, the students in the program receive rigorous training in mathematics, especially in the area of probability and stochastic calculus, in statistical analysis, and in computation, together with an overview of the institutional operation of financial markets and exchanges. Courses cover a broad array of topics that prepare students to enter the worlds of finance, risk management, and financial computing.
The Master of Science in Mathematical Finance program is dedicated to producing technically trained professionals with an understanding of how to analyze and value complex investments, and assess the associated risks. Over the course of three semesters of study, the students receive rigorous training in mathematics, especially in the area of probability and stochastic calculus, in statistical analysis, and in computation, together with an overview of the common financial instruments and the institutional operation of markets and exchanges....