Build advanced expertise in corporate finance, markets, and portfolio management through a practice-focused curriculum. You’ll develop the analytical and communication skills needed to interpret financial data and make informed investment decisions.
The Finance program at Queen's University in Toronto is designed to equip students with advanced expertise in corporate finance, markets, and portfolio management. Through a practice-focused curriculum, you will develop essential analytical and communication skills to interpret financial data and make informed investment decisions. This comprehensive program typically spans 12 months and is delivered on-campus in English.
Core curriculum includes:
Corporate Finance and Financial Statement Analysis
Quantitative Analysis and Economics
Advanced Financial Modeling
Equity Markets
Fixed Income Instruments and Markets
Advanced Portfolio Management
Learning approach: The program emphasizes applied problem-solving, case-based learning, and the use of finance tools, effectively connecting theoretical knowledge with professional practice.
Capstone / final assessment: A culminating assessment or integrative evaluation is typically included, aligning with the program’s finance competencies.
Specific GRE, GMAT, or GPA grading score requirements for this program have not been disclosed. However, prospective students should verify current entry criteria with the university.
Graduates of the Finance program can expect to find opportunities in a variety of sectors, including corporate finance, investment banking, asset management, and financial consulting. The skills acquired during the program will prepare you for roles that require expertise in financial analysis, investment strategies, and market evaluation.
Shortlist scholarships and plan your application — free guidance from our advisors.