Master of Science in Finance
Master of Science in Finance provides advanced graduate preparation in Finance. This field focuses on financial markets, corporate finance, and risk analysis, developing foundations in finance, financial analysis, and decision support.
Program Positioning
The master's program emphasizes advanced coursework, research methods, focused projects, and the ability to solve complex professional problems. This field focuses on financial markets, corporate finance, and risk analysis, developing foundations in finance, financial analysis, and decision support.
Finance Foundations
Study money and banking, financial markets, investment foundations, and financial institution operations.
Corporate Finance
Develop skills in financial statement analysis, budgeting, capital structure, and enterprise value analysis.
Risk and Compliance
Understand risk identification, internal control, financial regulation, and prudent management requirements.
Data Analysis
Practice statistics, econometric foundations, financial modeling, and interpretation of financial data.
Learning Objectives
Study and Completion Requirements
- Complete advanced professional coursework, research-methods training, and topical seminars.
- Conduct project research, case research, engineering analysis, or management analysis around field-specific problems.
- Complete a master's thesis, research report, or integrated outcome that meets program requirements.