Florida International University

USA
6 Scholarships 328 Programs 3 Degree levels
Masters

Master's in Finance and Financial Management Services

DegreeMasters
FieldFinance and Financial Management Services.
B

Cost & earnings at Florida International University What students borrow here, and what they go on to earn

You borrow $16,500 median federal debt
You repay $188/mo over 10 years
Graduates earn $60,249 10 yrs after entry
Debt clears in 0.8 yrs of the salary premium
US Department of Education figures See the full breakdown →

The Master’s in Finance and Financial Management Services at Florida International University is a professionally focused graduate programme that develops quantitative finance skills, applied valuation and risk-management techniques for careers in corporate finance, investment management and financial services. It suits graduates with a strong numerate background who want practical training, industry exposure and preparation for professional credentials such as the CFA.

What you'll study

The programme combines core finance theory with applied technical skills. Typical modules cover corporate finance and capital budgeting, investment analysis and portfolio management, fixed‑income and derivatives markets, financial modelling and applied valuation, and financial statement analysis. Quantitative and risk topics include econometrics for finance, quantitative methods, and risk management; elective choices often allow specialisation in areas such as mergers and acquisitions, private equity, behavioural finance, fintech and real‑estate finance.

Instruction emphasises hands‑on learning: case studies, spreadsheet and programming assignments (often using tools such as Excel, VBA, Python or R), and a capstone or practicum that integrates classroom concepts with live or simulated projects. Ethics and regulatory issues in financial services are typically integrated into coursework.

Entry requirements

  • Bachelor’s degree from an accredited institution, normally with a strong quantitative component (economics, finance, mathematics, engineering, or similar disciplines are common).
  • A competitive cumulative GPA; applicants with lower GPAs may strengthen their application with additional quantitative coursework or relevant work experience.
  • GMAT or GRE scores may be required or recommended; some applicants may qualify for a waiver based on prior academic performance or professional experience—check the school’s admissions guidance for current policy.
  • Résumé or CV detailing academic background and any relevant internship or work experience.
  • Statement of purpose explaining career goals and reasons for pursuing the degree.
  • Letters of recommendation (usually one to three), preferably from academic instructors or employers who can comment on quantitative aptitude and professional potential.
  • Proof of English language proficiency (TOEFL, IELTS or equivalent) for applicants whose prior degree was not taught in English; waivers may be available in some cases.

Career prospects

Graduates move into a broad range of roles across financial services and corporate finance. Typical entry and mid‑level positions include financial analyst, investment analyst, portfolio manager or assistant, risk analyst, credit analyst, corporate finance analyst, treasury analyst, and roles in asset management, wealth management and commercial or investment banking. The programme also supports transitions into consultancy, fintech and financial regulation.

Students benefit from preparation for professional certifications (for example the CFA) and from applied coursework and practicum projects that employers value. FIU’s location and industry links provide access to internships and networking opportunities across banks, asset managers, corporate treasuries and advisory firms.

Why study at Florida International University

  • Location in Miami gives direct access to a major financial hub with strong ties to Latin America and a diverse set of financial employers, enhancing internship and placement possibilities.
  • Faculty with applied research and industry experience who teach courses that emphasise real‑world tools and techniques used in financial markets and corporate finance functions.
  • Practical learning opportunities such as capstone projects, student investment funds, finance clubs and guest speakers from the local financial community.
  • Career services and employer engagement tailored to business and finance students, including interview preparation, recruiting events and alumni networks in the region.
  • Flexible delivery options are often available (full‑time, part‑time or hybrid formats), allowing students to balance study with professional commitments.

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Programme details are indicative and may change — always verify current information with the official university website before applying.