Master's Degree in Financial Management in New Orleans in USA

Find Masters Programs in Financial Management 2017 in New Orleans in USA

Financial Management

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

Financial management studies are for those who want an education on financial planning and how to make good decisions about investments and other financial matters. Students may learn how to apply certain management methods to real business situations.

The USA remains the world’s most popular destination for international students. Universities in the US dominate the world rankings and the country also offers a wide variety of exciting study locations. State university systems are partially subsidized by state governments, and may have many campuses spread around the state, with hundreds of thousands of students.

New Orleans is the major port in the US, located in the state of Louisiana. The city is known for celebrating carnival, Feast of the Epiphany. The city is home of several higher education institutions. French Quarter, Pontchartrain hotel and Honey Island Swamp are the most visited tourism sites of the city.

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Master of Finance

A. B. Freeman School of Business
Campus Full time 11 - 18 months September 2017 USA New Orleans

Freeman's Master of Finance (MFIN) Program is an 11-month or 18-month full time program designed for recent graduates with limited or no professional experience seeking careers in finance. [+]

Masters in Financial Management in New Orleans in USA. Master of Finance Program Overview Freeman's Master of Finance (MFIN) Program is an 11-month or 18-month full time program designed for recent graduates with limited or no professional experience seeking careers in finance. Graduates of the program are prepared to pursue careers in a wide variety of fields within finance, including: corporate finance, equities, fixed income, derivatives, asset management, leveraged finance, hedge funds, venture capital, private equity, private banking, financial consulting, public finance, and finance departments of large corporations. The program is created and taught by Freeman Finance faculty who are internationally recognized for their research in corporate finance and investments. Coursework includes core courses in finance and accounting and the ability to take electives within a student's area of interest such as Energy, Investment Banking, Asset Management, or Real Estate. The Tulane MFIN program also offers an Energy Specialization or a Banking and Financial Services Specialization. While the curriculum provides an in depth study of equity analysis, valuation, fixed income analytics, derivatives, and risk management, students are also able to reinforce the technical expertise developed in the classroom through participation in courses that provide real-world experience such as the Darwin Fenner Student Managed Fund, Aaron Selber Jr. course in Alternative Investments and the Freeman Reports Equity Analysis program. The Freeman Career Management Center works with students in the program to develop professional opportunities. Unique Freeman events like Freeman Days in New York, Houston, Chicago, and New Orleans help students develop networks within the larger financial markets. Ranked #4 in the U.S. and #30 in the world by Financial Times in 2014. Freeman is a Program Partner with the CFA Institute, which means the course content of the Tulane MFIN covers a significant portion of the CFA Candidate Body of Knowledge. Curriculum This curriculum has been designed by a team of faculty members who teach in the program, and it also reflects input from industry professionals about the types of skills they want potential employees to possess. The program focuses on developing strong fundamental analysis skills and uses practical applications to reinforce the technical expertise developed in the classroom. Students experience real-world finance through analyzing cases, completing projects and building financial models. Communication skills are enhanced through a financial communications class, written projects and presentations of student financial analysis. These courses provide hands-on experience and career building skills. The MFIN program curriculum is an 11 or 18 month, 34 credit, graduate program beginning each summer. The courses are as follows: Summer Semester (6 credit hours) Corporate Finance (3 credits) Financial Reporting I (3 credits) Career Management Course (0 credits) Fall Semester (16 credit hours) Financial Communications (3 credits) Fixed Income Analytics (3 credits)* Financial Reporting II (4 credits) Investments and Asset Pricing (3 credits) Valuation (3 credits) Spring Semester (12 credit hours) Equity Analysis - Freeman Reports (3 credits) Risk Management and Applications to Financial Firms (3 credits) or Risk Management and Applications to Energy Firms (3 credits) Elective Course (3 credits)* Elective Course (3 credits) Assessment of Program Learning (0 credits) * Can be deferred to following Fall for 18 month option. [-]