About this course
The Master of Science in Finance is a quantitatively oriented program designed to prepare well-qualified students for careers in finance. The rigorous curriculum is tailored to cultivate competent and highly trained finance professionals who possess robust, state-of-the-art technical knowledge and financial communication skills. The program prepares its graduates to manage a broad range of responsibilities involving financial analysis and asset management. The program specifically emphasizes skills in investment management, equity analysis, fixed income securities analysis, corporate finance and valuation, and risk analysis and management. Rigorous quantitative finance courses coupled with computer-based mathematical modeling tools provide graduates with superb financial technical skills grounded in both theory and applications of finance.
- An official copy of transcripts/statements of marks/academic records, detailing all university-level work and the diploma or degree certificate. Documents in a language other than English must be accompanied by certified English translations.
- Official TOEFL or IELTS score (or other proof of English proficiency). A minimum score of 75 on the TOEFL or an IELTS score of 6.5 or higher is required.