Master's in Finance in Canada

Find Masters Programs in Finance in Canada 2017


A Masters degree in Finance in Canada can prove to be an excellent choice for those interested in pursuing a career in the field of finance. More and more students are choosing Canada as a destination for education because of high quality and investment in education, the high standard of living, natural scenic beauty, and friendly people. As Canada becomes more prominent in the international market, the quality of programs continues to increase with more professional opportunities becoming available. 


Master in Finance in Canada programs will provide students with a solid foundation in business and finance principles while focusing on a specialized area of the student’s interest, such as risk management, investments, banking, or international finance. Through challenging curriculum, students pursuing a Master in Finance in Canada will learn the practical application of theory to real world situations. 


Scroll through the programs below to learn more about your opportunities to earn a Masters degree in Finance in Canada. Take that next step towards your goals today!

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Masters of Management in Finance (MMF)

McGill University
Campus Full time 12 months July 2017 Canada Montreal

The McGill Masters of Management in Finance (MMF) degree is a pre-experience twelve-month specialized program in finance. The MMF program prepares students for a career in finance through a comprehensive curriculum that integrates advanced financial concepts and quantitative methods with real-world business practices. [+]

Best Masters in Finance in Canada 2017. The McGill Masters of Management in Finance (MMF) degree is a pre-experience twelve-month specialized program in finance. The MMF program prepares students for a career in finance through a comprehensive curriculum that integrates advanced financial concepts and quantitative methods with real-world business practices. The MMF is designed for recent graduates with a Bachelor of Science, Engineering, Economics, Arts or Commerce degree and with proven quantitative skills who aim to work in the finance industry or in the finance function of a business. The program starts this Summer 2016. We are NOW open for applications. Gain real life business experience Throughout the program, Master of Management in Finance students work as analysts at Desautels Capital Management Inc., a licensed and regulated investment management firm with an independent board of directors. Major responsibilities will include covering a sector and managing the DCM firm’s portfolio. Program structure The Masters of Management in Finance consists of eleven courses (33 credits) delivered over six 6-week modules. Concurrently students will also be expected to complete an Integrative Finance Project (12 Credits). Integrative Finance Project BUSA 689 - Integrative Finance Project (12 Credits) The integrative finance project is a core component of the program. It provides the opportunity to immediately put into practice the skills and knowledge that students acquire in the classroom. Students fulfill this requirement in three overlapping stages: Desautels Capital Management Inc. (August to July): Upon entry into the program, students join Desautels Capital Management (DCM) as analysts. DCM is a licensed and regulated asset management firm, with an independent board of directors and external investors. As analysts, students are responsible for a particular sector, identifying investment opportunities, and pitching them to colleagues. In addition, students are responsible for dealing with regulatory issues, compliance, trading and execution, back office settlement, preparation and filing of financial statements, and communication with clients. Professional Seminar Series (August to April): Seminars will be held regularly to expose students to current issues and practices in financial markets. The seminars will be given by professionals from various industries, e.g. hedge funds, pension funds, tax/legal accountants, etc., and will provide unique networking opportunities. Final Project (February to July): Students will work on a finance topic of their choice under the supervision of a faculty member. Throughout the project, students will have the opportunity to think independently and creatively about an important financial topic, apply their quantitative skills, and ultimately showcase marketable skillsets in an area of their interest. Six 6-Week Modules 1st Module: FINE 678 - Financial Economics (3 Credits) This course covers the basic principles of valuation in modern finance and applies them to the pricing of financial securities and to the investment decisions of firms. Topics include interest rates, the valuation of bonds, stocks and options, optimal portfolio choice, the price of risk, and capital budgeting. The course serves as a foundation for the rest of the finance courses in the program. FINE 681 - International Capital Markets (3 Credits) This course provides a comprehensive analysis of international capital markets including the financial assets traded in these markets, e.g., debt securities, equities, and currencies, the performance of the asset management industry, and the in-depth coverage of the recent international financial crises. This course also covers the theoretical models that characterize open economies and that explain how prices, interest rates, inflation, and exchange rates are determined. 2nd Module: FINE 679 - Corporate Finance Theory (3 Credits) This course provides a framework for understanding how firms finance their activities. The course studies the different forms of financing available to firms (e.g., bonds, loans, stocks, warrants), the sources of these funds (e.g., banks, private equity, institutional investors, individual investors), and how firms’ capital structures are shaped by corporate and personal taxes, bankruptcy costs, conflicts of interests between shareholders and debt-holders, and differential access to information in capital markets. Students apply these analytical tools to case studies that emulate real business situations to learn how to design securities to maximize value and to optimize payout policy. FINE 680 – Investments (3 Credits) This course provides the tools to become a successful investment manager. Students learn how to establish appropriate investment objectives, develop optimal portfolio strategies, and evaluate investment performance. The course is designed to be highly interactive and hands-on. Students become proficient in navigating financial data platforms −Bloomberg, Eikon, Morningstar−, executing trades on a state-of-the-art market simulator, developing models of asset allocation, back-testing trading strategies, and producing professional investment reports. 3rd Module: FINE 682 – Derivatives (3 Credits) Derivative securities have become an extremely important part of financial markets and have taken a prominent place in the debates surrounding financial crises, not least after the recent subprime and sovereign episodes. A strong understanding of derivatives is now key for many roles such as corporate treasurers, fund managers, institutional investors, risk managers, traders and, more generally, at any senior management level. In this course, students become familiar with the various derivative markets and uses of their respective products. Valuation and risk management models of these products are dealt with in detail, while remaining focused on practical applications. ACCT 604 - Financial Statements 1 (3 Credits) This course provides an overview of the financial reporting system with an emphasis on the conceptual background and tools required to understand, analyze, and exploit the information contained in financial statements. The course combines lectures on concepts and methods with practical cases in which students apply the learned tools to real business situations. The course also provides the understanding of how alternative practices in financial reporting affect corporate financing and investment decisions. 4th Module: FINE 683 - Advanced Corporate Finance (3 Credits) This course studies the critical steps in the financial and economic maturation of a firm: venture capital financing rounds, initial public offerings, leverage buyouts, mergers, divestures and spin-offs. On each of these topics, the course offers an in-depth analysis of the process, of the parties involved and on the sources of gains and inefficiencies. The course also uses these operations to illustrate a series of advanced topics in corporate finance, namely, the corporate governance of firms, the role of risk management, the impact of product market competition on funding choices, and the relationship between trading in financial markets and firms' financial decisions. All these issues are approached through different angles, i.e., lectures, case studies, simulations, and interventions from the practitioner community. FINE 684 - Fixed Income Markets (3 Credits) Fixed income markets, the largest financial marketplace in the world, involve a large and diverse set of participants and market structures. In this course, students acquire a thorough grasp of fixed income instruments and their use in asset management, financial engineering, and risk management. The course covers fixed income mathematics, risk concepts, term-structure analysis, credit risk modeling, and derivatives valuation. In addition, significant time is spent on the most recent market developments such as mortgage-backed securities, securitization and credit derivatives. 5th Module: FINE 685 - Market Risk Management (3 Credits) Corporations and financial institutions face a plethora of risks, and finance professionals need the know-how to measure and manage these risks. In this course, students acquire the tools to critically appraise commercially available risk management systems and to understand the use of derivatives in risk management. The course covers state-of-the-art risk measurement and management techniques and the technical skills required to implement them. FINE 688 - Mergers and Acquisitions (3 Credits) The objective of the course is to gain an understanding of the reasons firms engage in merger and acquisition activities and the processes used to successfully accomplish and create shareholder value from these activities. Topics include valuation in merger and acquisitions, joint ventures and alliances, cross-border M&A, and divestures. 6th Module: FINE 673 - Finance Fundamentals (3 Credits) This course provides tools for quantitative data analysis in Finance and serves as a stepping stone to the research thesis, which is a part of the Integrative Finance Project. The course is applied and project-based. It exposes students to the full production line of data analytics, including the identification and collection of data, proper statistical analysis, and the presentation of the analysis to a variety of audiences. Students learn how to improve decision-making from using data analytics, and also how to recognize and avoid pitfalls of complex data analysis (e.g., data mining, measurement problems, sampling error, and model misspecification). Applying to the MMF Program You are about to make the right decision. The McGill Master of Management in Finance is designed for high-achieving, ambitious students interested in a career in finance. Admissions criteria and decisions are based on the following components: An undergraduate degree and any further academic qualifications. Relevant work experience is not required. Completion of the Graduate Management Admissions Test (GMAT) or the Graduate Record Examination (GRE). Applicants with an graduate or undergraduate degree from McGill are exempt. In addition, applicants who completed their undergrad degree in an university where the language of instruction was not in English are required to complete the TOEFL or IELTS. The admissions committee will also carefully review your essays and letters of reference. Only qualified applicants will be called for an interview with a member of the admission team. Career Resources Located in the Soutar Career Centre, Career Services at the Desautels Faculty of Management is dedicated to helping students develop their career management skills and explore career paths that enable them to ultimately achieve their career goals. Innovative programs, workshops and speaker series coupled with an integrated learning approach prepare our students and give them the skills to make an impact in their careers throughout their lifetime. Career services works closely with you from Day 1 to help you: Define your career strategy Improve your CV & Cover Letters Network with McGill alumni and Employers Practice and acing the interview techniques Negotiate a job offer to achieve your best interest Career Outlook By Industry Finance Consulting Others Investment Management Management Technology Diversified Financial Services Mergers & Acquisitions Telecommunications Commercial Banking Financial Strategy Media Investment Banking - Energy Private Equity - Real Estate Venture Capital - Insurance Private Wealth Management - Government & Public Policy By Function Finance Consulting Asset Management Management/Strategy Consulting Risk Management Financial Services/Economic Consulting Quantitative Analysis - Research - Mergers & Acquisitions - Securities Issuance - Advisory - Corporate Finance & Treasury - Sales & Trading - Venture Capital - If you have any questions, please feel free to email us at [-]

Master of Management: International Accounting and Finance

University of Windsor
Campus Full time 16 months September 2017 Canada Windsor

Investing in your education with the Master of Management - International Accounting and Finance, will provide you with thorough business knowledge that will serve as a foundation throughout your career. [+]

Program Overview Investing in your education with the Master of Management - International Accounting and Finance, will provide you with thorough business knowledge that will serve as a foundation throughout your career. This program will help you to become a professional and leader in the international business world. The course based Master of Management - International Accounting and Financing will prepare you for a leadership position within the accounting or nance industry in Canada or abroad. You will study and live in Canada for 16 months. This program includes 12 prescribed courses completed over 4 academic terms. The International Accounting and Finance specialization has two intakes (September and January). In addition to your academic studies, students also participate in the Master of Management Employment Program. Facilitated jointly by the Odette Career and Placement Services and the Centre for Executive and Professional Education, the program guides students towards the development of their Career Portfolio and builds the skills necessary to obtain employment upon graduation. Intakes: September and January Course offerings The Master of Management classes will be conducted over four terms with students taking three courses at a time. Here is a list of tentative prescribed course offerings: Accounting Concepts and Techniques Finance in a Global Perspective Managing Employees Marketing International Business Quantitative Studies International Financial Reporting International Financial Management Business Strategy Consolidated Financial Statements Accounting Systems Control & Auditing Corporate Governance All Master of Management students participate in a Business Communications Workshop on campus during their first term of coursework. This is a valuable opportunity to develop communication and presentation skills in preparation for your graduate classes and professional life. The workshop is mandatory and will not interfere with class time. Students who take the Business Communication Workshop receive a certificate of successful completion. Prior to the start of the academic program, you may be required to attend six weeks (July-August or October-November) of intensive English language training known as the English and Academic Program Preparation (EAPP). Admission requirements Four-year bachelor-level degree (or equivalent) in an acceptable discipline from an academic institution approved by the University of Windsor The equivalent of a 70% average or higher in undergraduate studies (when converted to University of Windsor standards) Demonstrated English proficiency by meeting or exceeding 7.0 score in the IELTS test or a TOEFL-ibt score of 100 Two supportive letters of reference (at least one from an academic source) on official letterhead Enrollment is limited. Preference will be given to candidates who exceed the above minimum requirements. *English programs are available for those who require additional language training prior to entry into the academic program or have received lower than the required score. Other Admission requirements Other application details that will need to be completed are: Completed application form Application fee (payable at the time of application) Statement of Purpose describing your intent to study (approximately one page in length) Current Resume [-]

Master of Actuarial Science

University of Windsor
Campus Full time 16 months September 2017 Canada Windsor

This exciting course-based graduate program, offered by the Faculty of Science, gives students an opportunity to enhance their understanding and skills in the discipline of actuarial sciences. [+]

Best Masters in Finance in Canada 2017. This exciting course-based graduate program, offered by the Faculty of Science, gives students an opportunity to enhance their understanding and skills in the discipline of actuarial sciences. Over 16 consecutive months, students complete Master's level course work in industry relevant areas, such as derivatives markets, life contingencies, micro- and macro-economics. Key Learning outcomes: Describe and apply advanced concepts related of probability, theory of interest, financial derivatives, finance, economics, regression and time series, risk and loss functions Critically evaluate current research in actuarial science, develop and support a sustained argument based on evidence, and apply appropriate research methods to problems. Interpret verbal descriptions and transform them into mathematical insurance models, analyse the models, interpret the models and output and express the solutions in a coherent organized manner. Recognize and discuss appropriate best actuarial models and create models to solve complex problems Career Opportunities: As a professional graduate program, alumni of the M.Act.Sc program are well prepared for careers in insurance, financial analysis, pensions, and healthcare industries. Graduates can also participate in one of the regular offerings of the Society of Actuaries (SOA) exams offered on-site. Curriculum covers actuarial mathematics as required for the following Society of Actuaries (SOA) professional exams: P (Probability), FM (financial mathematics), MLC (actuarial Models: Life Contingencies) , MFE (actuarial Models:Financial Economics), C (Construction and evaluation of actuarial models)* and SOA VEE (validation by educational experience) Intakes: September *Partial preparation for the SOA "C" exam [-]

Master of International Business Management (IMBA)

Westford School of Management
Campus or Online Full time Part time 12 months Open Enrollment Canada Canada Online + 1 more

This course is structured in a manner that the learner will receive dual certification, Postgraduate Advanced Diploma in International Business Management, awarded by Cambridge International Qualifications, UK and a Master of International Business Administration awarded by Guglielmo Marconi University, Italy. This MBA is accredited by Ministry of Education, Italy and Council for Higher Education Accreditation (CHEA), United States, hence the MBA has dual accreditation from Europe and US.The University also comes under the ENIC NARIC Approved Universities and is recognized worldwide. [+]

Master of International Business Administration, Awarded by Guglielmo Marconi University, Italy. Guglielmo Marconi is a world-class university promoting the use of innovative learning methodologies and an approach based on the development of interdisciplinary knowledge, skills and competences with a particular emphasis on the global perspective. Our diverse community has presently a total number of around 16000 students enrolled in graduate and postgraduate programs, 300 faculty members and an academic advising team made of more than 200 experts. The University Headquarters are situated in the heart of Rome, near the Vatican City but numerous regional and international branches allow both domestic and overseas students to take their final exam and present their thesis dissertation without leaving their own country or state. Guglielmo Marconi University is accredited by the Italian Ministry of Education and is also accredited by ACICS – Accrediting Council for Independent Colleges and Schools, the largest US accrediting institution linked to the U.S. Department of Education and the Council for Higher Education Accreditation (CHEA).This means that GMU Bachelors and Master’s will be valid not only in Europe but also in the United States, giving students new and greater career opportunities in a larger number of countries: ... [-]

Master of Finance

Saint Mary's University Sobey School of Business
Campus Full time 12 - 15 months September 2017 Canada Halifax

The first of its kind offered in Canada, the Sobey School of Business's Master of Finance program will be celebrating its 10th anniversary in 2013 [+]

Master of Finance

The first of its kind offered in Canada, the Sobey School of Business's Master of Finance program will be celebrating its 10th anniversary in 2013.

Our innovative 12-15 month program effectively prepares graduates for professional careers in:

financial analysis and advising, portfolio and risk management, and corporate finance.

Based in theory and focused on real world applications, in addition to attaining a specialized degree in finance, our graduates are provided with extensive preparation for the Chartered Financial Analyst® (CFA) designation.

The Sobey MFin is ideal if you are interested in launching or advancing your career in the corporate world, public sector or industry. ... [-]