Learn From a Top-Ranked University in the Heart of Boston
Embark on the pathway to advanced credentials right here, right now. The 100 percent online master’s in finance program is built to enhance your professional life today. Attain your degree while you continue to work and gain experience. You’re just a click away from a global financial epicenter. Based in downtown Boston, the program is your springboard to pioneering innovation, insights, and thought leadership.
Graduates of the Master of Science in Finance program are uniquely positioned for success. The program is both a member of the Chartered Financial Analyst (CFA) Institute University Affiliation Program and a Global Association of Risk Professionals (GARP) Academic Partner, creating a path toward coveted designations such as CFA and FRM.
Align with the Industry
Expand your skill set and increase your earning potential with an online graduate degree in finance. The online master’s in finance curriculum prepares you with industry-demanded skills to enhance your professional trajectory.
- Data-driven analysis: Develop and apply analytical reasoning skills, expand your knowledge of quantitative methods, and become familiar with industry technologies.
- Advanced financial concepts: Obtain a broader and deeper view of financial theory as it pertains to the global economy.
- Ethical leadership: Understand the traits of a well-rounded, ethically grounded leader.
- Professional communication: Relay a variety of concepts and learn how to connect with stakeholders.
Fine-tune Coursework with a Focus
Choose a concentration area to maximize the impact of your master’s degree in finance. The variety of coursework in the program provides various pathways to certifications and designations of distinction.
Become a business operational leader with in-demand credentials. Learn the framework for crucial strategic solutions, such as resource allocation for maximum profit and innovative funding alternatives.
This program shows you how to assess and manage various types of financial risks in global companies and financial institutions. Align your coursework with completing the Global Association of Risk Professionals’ Financial Risk Manager certification program.
Gain a well-rounded understanding of asset management, security valuations, capital markets, portfolio management, and the process of issuing securities with the master’s in finance. The curriculum incorporates at least 70 percent of the CFA Program Candidate Body of Knowledge and was therefore accepted by the CFA University Affiliation Program.
More About Our Online Finance Program
Master's in Finance Online Curriculum
To the right are a few sample courses from the Master's in Finance online program. For additional course information, please download a program guide.
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According to the U.S. News & World Report, financial manager positions are projected to grow 18% through 2026. The median salary for jobs in finance requiring a master’s degree is $114,700. The average median salary of financial managers is $127,990 per year, while the average salary of a mutual fund manager is $140k. Financial manager ranks #4 in Best Business Jobs and #25 among Best Jobs. Graduates of the online Finance degree will make 38% more than those with a finance bachelor’s on an average. Suffolk University in Boston offers the Masters in Finance program with a robust foundation to pursue careers in the field.
Suffolk University prepares students for advancement through the MS Finance online. As a member of the Chartered Financial Analyst (CFA) Institute University Affiliation Program, Suffolk offers courses that prepare students to pursue the CFA and CMA designation. CMAs earn 47% more in the U.S. than professionals without CMA. Risk management jobs are projected to grow 10-14% through 2026. As a GARP academic partner, Suffolk‘s online Masters in Finance curriculum aligns with the FRM exam and requirements. FRM designation is the leading credential for risk management on a global level.
Theory of Corporate Finance
This course develops a framework for understanding, analyzing, and valuing modern financial instruments. Students examine several types of derivative securities and their use in managing financial risk. While the interests of issuers, intermediaries, and investors will all be considered, the primary emphasis will be on the perspective of corporate financial managers and the use of modern financial technology in the creation of value for shareholders.
Students expand knowledge of dividend theory, capital structure theory, capital budgeting, long-term financing decisions, cash management and corporate restructuring, market efficiency, and risk and liability management.
Students explore the pricing of options and futures contracts, the characteristics of the markets in which these contracts are traded, options and futures strategies, and the application of these contracts in the hedging of financial positions.