Where Wall Street, fintech, and data science converge.
The Master of Science in Financial Analytics prepares students for the future of finance, where analytics, automation, and AI are transforming how decisions are made. Unlike traditional finance programs, this degree emphasizes machine learning, predictive modeling, and big-data applications alongside deep training in financial theory.
Program highlights include:
- Predictive modeling and machine learning for finance
- Derivatives, credit analytics, and regulatory modeling
- Access to Bloomberg terminals, Python, R, Tableau, SQL, and proprietary datasets
- Hybrid format designed for working professionals
Graduates step into high-impact roles including quantitative analyst, financial data scientist, portfolio risk analyst, fintech strategist, valuation analyst, and regulatory analytics specialist, helping drive the transformation of today’s global financial markets.
Explore the M.S. in Financial Analytics