Finance
Master of Finance
About the Course
This degree provides students with advanced expertise in financial strategy, investment analysis, and risk assessment, and prepares them to lead in global financial markets and guide organizations in achieving sustainable financial performance.

Finance
Course Overview
A Master of Finance (MFin) is a postgraduate degree program that focuses on advanced financial theory, quantitative analysis, and investment strategies. It is designed to deepen technical skills and prepare students for specialized roles in global financial systems. Finance is a fast-evolving field that drives decision-making across corporate, government, and investment sectors. The program equips students with analytical and strategic tools required to succeed in high-stakes financial environments and meet international standards in finance.

Finance
Course Duration
Region | Duration |
Australia | 1.5–2 years |
New Zealand | 1–1.5 years |
UK | 1 year |
Europe | 1–2 years |
Canada | 2 years |
Asia | 1.5–2 years |
USA | 2 years |

Finance
Course Curriculum
The Master of Finance curriculum includes core subjects in corporate finance, investment management, financial modeling, and derivatives. Students also study risk management, quantitative methods, behavioral finance, and ethics. Many programs incorporate real-world applications through case studies, trading simulations, and internships. The curriculum is globally relevant and designed to support professional pathways such as the CFA, CPA, or FRM designations, emphasizing both theoretical rigor and practical application.

Finance
Admission Requirements
- Completed bachelor’s degree in finance, business, economics, or a related field
- English language proficiency (IELTS 6.5 or equivalent)
- Academic transcripts with required GPA or performance standards
- Statement of purpose outlining finance interests and career objectives
- Resume or CV with relevant work or academic experience

Finance
Career Opportunities
- Job Roles: Investment Analyst, Financial Controller, Risk Manager, Portfolio Manager, Financial Consultant
- Placement Opportunities: Investment banks, asset management firms, multinational corporations, and consulting agencies in USA, Canada, UK, Australia, Asia, and Europe
- Qualifications Required: Master’s degree in Finance or equivalent postgraduate credential; CFA, CPA, or FRM certifications may be required or preferred
- Career Pathways: Corporate finance, wealth management, quantitative finance, global banking, doctoral research in finance
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