See Masters Programs in Finance in Australia 2019
To build the qualifications necessary for a rewarding career in accounting, finance, banking, investment, management, policy or analysis, a Master of Finance could be an essential addition. Universities and colleges in Australia offer Master of Finance programs to graduates from related bachelor's degree programs in Australia or around the world. Building a multicultural student base is a valuable undertaking for schools in Australia, and it also benefits students with expanded networking opportunities, thus international students are also encouraged to apply to Master of Finance programs.
Applied Finance, Islamic Finance, Financial Management, Accounting and Investment Analysis are just some of the possible areas of specialization available to Master of Finance students in Australia. Lasting approximately one to two years when undertaken on a full time basis, Master of Finance programs in Australia can also be taken part time, online or from abroad in a distance learning format. A master's thesis or final dissertation is usually the capstone of a Master of Finance program at a university in Australia, where students learn how to design and undertake a research-driven, analytical project independently.
If your future career could benefit from the valuable qualification of a Master in Finance from a university in Australia, then simply scroll down and click to read more, today!
21 Results in Finance, Australia Filter
The Master of Quantitative Finance provides the full gamut of specialised quantitative finance skills and development of professional competency required to be a quantitative finance specialist performing at the cutting edge of the discipline. Participants have the opportunity to see the application of quantitative finance to advanced financial instruments, an integrated approach to risk management and how to implement quantitative finance strategies.
The Master of Financial Analysis provides advanced-level study in a range of contemporary accounting and finance issues.
The Master of Finance (Extension) provides a comprehensive range of skills and expertise expected of leading practitioners in the banking and finance sectors.
The Master of Finance provides a comprehensive range of skills and expertise expected of leading practitioners in the banking and finance sectors.
The Master focuses on issues related to development and growth both in developing and emerging countries as well as in the backward areas of developed countries. It also offers some knowledge on planning practices and project management and aims to provide a broad education in international cooperation and economic development, enabling students to acquire the knowledge and critical understanding necessary to make a significant contribution to the management of public and private policies within the international cooperation framework.
Covering a wide range of applied finance topics, this specialized master’s course leads to careers in corporate banking and finance, stock market trading, insurance, investment management and other areas of applied finance.
The professional program follows the same structure as the Master of Actuarial Science program with an additional 20-week Work Integrated Learning component.
The Master of Actuarial Practice follows the same structure as the Master of Actuarial Science, plus Practice Subjects.
The Master of Actuarial Science combines advanced mathematics, statistics, data analytics, actuarial risk theory, finance, economics and accounting subjects with large-scale, real-life commercial data analysis.
The Master of Financial Management provides students with the essential knowledge and analytical skills for making key financial decisions faced by corporate managers.
The Master of Financial Management (Professional) is an intimate educational experience that will provide you with the essential financial knowledge and analysis skills for making key financial decisions faced by corporate managers.
The Master of Finance is a quantitatively rigorous program that will give you a strong understanding of financial principles and their application to corporate financial policy, international financial markets, derivative assets and their associated markets, plus a strong understanding of specialised aspects of the financial industry.
Bond's Master of Finance (Professional) is a quantitatively rigorous program that will give you a strong understanding of financial principles and their application to corporate financial policy, international financial markets, derivative assets and their associated markets, plus a strong understanding of specialised aspects of the financial industry.
The Master of Business (Financial Management) is suitable for managers and middle managers seeking to further their career in a specialized field of business. Theoretical and practical knowledge and skills are developed through the study of the foundation, specialization specific core subjects, and electives.
The Master of Applied Finance (Investing) is for students interested in acquiring an advanced understanding of investment and portfolio management.