Master of Science in Finance
A New Master of Science in Finance at Loyola
New in 2008, the Quinlan School of Business is offering a Master of Science in Finance with two concentrations.
To provide professionals with the analytical skills to solve complex financial problems and the technical ability to manage the finances and risks of modern enterprises. Graduates will emerge with a range of employment options, including work with corporate treasuries, banks and commercial lenders, investment banks, trading firms, asset managers, insurance companies, private equity firms, real estate development and management companies, consultants, and large non-profit organizations.
- Corporate Finance - offers students a broad curriculum in finance and focuses on practical application which includes a curriculum in advanced corporate finance, valuation, international financial management, enterprise risk management, and a capstone course in corporate finance
- Risk Management - focuses on more quantitative and specialized aspects including courses in risk management, quantitative methods, derivatives, and a capstone course in financial modeling and managing risk
Individuals who are interested in this new program can click here for more information or to submit an application - Master of Science in Finance.
If further assistance is needed, please contact...
- Serhat Cicekoglu, Director, Center for Integrated Risk Management and Corporate Governance - firstname.lastname@example.org
- Pamela R. McCoy, Director, Quinlan School of Business - Graduate Programs - email@example.com
Loyola's Quinlan School of Business is offering several information sessions for individuals to learn more about the program. To register for these sessions, please click here.