Overview
The Master of Science in Finance has been designed to meet the growing need for a rapidly evolving data driven financial function. Upon completion of this program, graduates will understand the core principles of finance, be equipped to utilize financial analytics, machine learning, and visualization tools, apply the appropriate financial analytic models, and address critical business questions with ease, speed, and accuracy.
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Course Taught in English
All courses are taught entirely in English or partially in English.
Aims of the Program
The overall aim of the program is to produce graduates with strong proficiencies in the application of financial analytics in a contemporary and evolving data driven environment, while also enhancing practical and technical skills.
Initially, the program will arrange for learners to develop a fundamental finance background, such as accounting, investment, corporate finance, and financial derivatives, then go through a series of analytic courses, such as VBA, Python, TensorFlow, JavaScript, Power BI.
Upon completion of this program, graduates can provide a complete solution to solve financial and business problems.
Course Content
The Master of Science (MSc) in Finance has the following content:
Finance
Corporate finance
Financial institution management
International Financial management
Investment
Investment management
Financial Derivatives
Fixed-Income Security
Information
Financial programming
Business Intelligence and finance technology
Big-data analysis