Master in Finance
Descriptions
The Master in Finance is a postgraduate program that provides advanced knowledge of financial management, investment analysis, and global markets. It equips students with strong analytical, quantitative, and decision-making skills essential for financial careers. The program covers topics such as corporate finance, risk management, financial modeling, and portfolio management. Students gain practical experience through simulations, case studies, and real-world financial projects. The degree prepares graduates for roles in banking, investment, consulting, and financial analysis. Emphasis is placed on understanding market behavior, financial strategy, and ethical decision-making. The program also serves as excellent preparation for professional certifications like CFA or FRM. Overall, the Master in Finance develops expertise to navigate and lead in the complex world of finance.
Different Universities offer various Specialisations Like:
- Master in Finance (APS waiver)
- Master of Science Global Finance (APS required)
- MSc in Finance & Investment ( University for the Creative Arts ) – Berlin Campus (APS waiver)
- Master in Finance (MSc) (Two Years) (APS required)
Level:
Postgraduate
Credits:
60 – 120
Intake:
October, January, April, August, February, May
Eligibility Requirements:
- Bachelor’s Degree with minimum 60% from a recognised university.
- Bachelor’s Degree in field related to business studies, communications or media studies, social sciences an or psychology with minimum 60% from a recognised university.
- 3 years Bachelor’s Degree with minimum 60% in any field from a recognised university.
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