The GAU MSc in Finance develops advanced expertise in corporate finance, investment analysis, financial markets, and risk management. The curriculum prepares graduates for senior roles across banking, investment management, and corporate finance, grounded in rigorous quantitative and analytical training.
The MSc in Finance equips finance professionals to analyze markets, structure complex corporate financing decisions, mitigate portfolio risk, and execute applied financial research.
Online Learning Environment: Delivered fully online through GAU’s digital learning platform with interactive case studies, financial modeling projects, and dedicated academic supervision
Apply advanced financial theory to corporate investment, capital structuring, and strategic financing decisions.
Evaluate global financial markets, financial instruments, asset pricing models, and active portfolio management strategies.
Apply econometrics, financial modeling, and risk-management techniques to complex managerial decisions.
Conduct independent financial research culminating in a high-impact dissertation or applied capstone project.
Select the admission pathway matching your academic credentials and professional standing.
For holders of a Bachelor’s degree in Finance, Economics, Business, or a related field seeking comprehensive technical and managerial mastery in corporate finance and quantitative analysis.
For holders of a Postgraduate Diploma (PGD) in Finance or candidates with recognised advanced standing seeking full MSc degree completion.
GAU operates four intakes per academic year across all degree programmes. Applicants are advised to apply at least 4–6 weeks before the intake start date for document verification and credit evaluation.
Advance your quantitative and strategic leadership credentials with the Master of Science in Finance at Gulf American University.