MI

Master's in Finance (MSF)
Online

University of Michigan‑Dearborn | Master of Science in Finance

  • Dearborn
About This Program

Corporate finance, investments, derivatives, valuation, risk management, and financial analytics.

Student Reviews
What You'll Learn
  • Analyze corporate financial decisions and capital structures.

  • Manage financial risks using derivatives and hedging strategies.
  • Evaluate investment opportunities and construct portfolios.
  • Apply quantitative methods to financial modeling and forecasting.

For detailed, official program information including specific curriculum, faculty, research opportunities, and application requirements:
Typical Curriculum Structure
The Master of Science in Finance at University of Michigan–Dearborn is a 33-credit graduate program focusing on risk management, corporate finance, and derivatives, designed for completion in 12-16 months with flexible options.
Typical Course Topics
1. Corporate Finance 2. Risk Management 3. Financial Derivatives 4. Investment Management 5. Portfolio Analysis 6. Capital Budgeting
Program Specializations:
Investments
Financial Analyst; Portfolio Manager; Corporate Treasurer
View the exact, up-to-date curriculum on the official program website
Typical Admissions Requirements
A bachelor's degree with a minimum GPA of 3.0 is required, preferably in business, economics, or a quantitative field; relevant work experience is preferred but not mandatory.
Academic Requirements (Typical)

β€’ Degree Required: Bachelor’s degree
β€’ GRE/GMAT: Optional
β€’ TOEFL/IELTS: Required for international students (TOEFL 80+ / IELTS 6.5+)

Application Materials (Typical)

β€’ Statement of Purpose: Required
β€’ Letters of Recommendation: 2–3
β€’ Resume: Required
β€’ Transcripts: Official transcripts required

Application Timeline

Most programs have rolling admissions or deadlines in early winter for fall admission. Check the official program website for exact dates.

Career Opportunities in AI

Graduates prepared for success in corporate finance, investment management, risk assessment, and banking with Bloomberg certification and real-world portfolio management experience from the Bloomberg Finance Lab.

Estimated Industry Salary
Financial Manager: $139,000
Total compensation (entry to mid-level)
AI Job Growth
0.16%
Projected 2024-2034 (BLS)
Common Career Paths:
1. Financial Analyst 2. Risk Manager 3. Portfolio Manager 4. Investment Banker
Top AI Employers (Industry-Wide):
Top employers include major banks like JPMorgan Chase and Goldman Sachs, investment firms such as BlackRock and Vanguard, and corporations like Ford and General Motors.
Program Details
Duration
  • 1.5 Year
Tuition
$ 23,430
Format
Online
Specializations
Investments
Financial Analyst; Portfolio Manager; Corporate Treasurer