Master of Finance
Overview
In the new world of finance, there is strong demand for highly skilled, analytical thinkers who have a proven ability to innovate.
The quantitatively oriented Master of Finance provides both depth and breadth in finance. Designed to enhance your analytical and problem-solving abilities and develop your understanding of the principles of finance, it explores finance, financial modelling, econometrics, trading, research and the analysis of financial markets.
Using real-time market data, you’ll participate in trading simulations and workshops for multi-asset portfolio and risk analysis, hedging, and money market and foreign exchange instruments trading. All of this takes place in purpose-built facilities in Melbourne CBD.
This transformative approach prepares you for life and work.
Why choose finance at RMIT?
State-of-the-art facilities
Gain practical experience before you graduate by learning in the RMIT Trading Facility, the only one of its type in Australia.
Learn from industry
Benefit from the guidance of experienced finance professionals and a research-led teaching approach.
Global opportunities
Combine overseas travel and cultural experiences with coursework completed in intensive mode.
The Master of Finance degree provides you the tools you will need to shape the future of finance.
Guided by experienced finance professionals and a research-led teaching approach, you’ll gain a competitive edge in the finance world by advancing your skills in financial modelling, fintech and trading simulations. There are also opportunities for collaborative projects and deep engagement with contemporary issues in finance and related industries through regular seminars and workshops.
It all combines to give you an in-demand set of skills required to navigate this new world of finance.