The Master's in Finance program is designed to equip students with a comprehensive understanding of financial theory and its practical applications. The program aims to provide graduates with detailed knowledge of modern financial theories and methodologies and a comprehensive understanding of both financial and economic performances and management. Students are prepared for various careers in investment, financial management, financial trading, financial product design, financial analysis, financial risk management, and related fields.
Admissions for the 2026 cohort are now open, and will close on March 31, 2026.




