Build advanced finance expertise through a Queen’s University Master of Finance (MFin) pathway with a Beijing-focused learning experience. Develop strong analytical, modelling, and investment decision-making skills for roles in asset management, capital markets, and corporate finance.
The Master of Finance (MFin) program at Queen's University offers a unique opportunity to gain advanced finance expertise through a Beijing-focused learning experience. This full-time, one-year program is designed to equip students with strong analytical, modeling, and investment decision-making skills essential for careers in asset management, capital markets, and corporate finance.
The program's core curriculum emphasizes technical and analytical skills essential for navigating financial markets, valuation, and portfolio decision-making. Students will engage in the following coursework:
Equity Markets and Analysis
Advanced Financial Modelling
Quantitative Methods and Economics
Fixed Income
Advanced Portfolio Management
Alternative Investments
Financial Derivatives
Investment Banking
In addition to core studies, the program incorporates experiential learning components that foster applied knowledge and professional networking opportunities, including:
Workshops, seminars, and industry events
Corporate visit programs
Student clubs and finance communities
Note: The sequencing of modules, elective options, and any capstone or thesis requirements may vary by cohort. It is advisable to confirm with the program office regarding specific graduation requirements.
Applicants to the MFin program are generally required to demonstrate proficiency in quantitative reasoning through standardized tests. Accepted assessments may include the GRE or GMAT. Additionally, candidates may need to showcase their English language proficiency through tests such as TOEFL iBT or IELTS, as applicable.
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