Format
Full timeDuration
12 monthsAnalyze complex financial issues using the latest quantitative and analytical methods and techniques. Become skilled at navigating diverse regulatory environments locally and globally. Earn your master's in finance from George Mason University.
Gain the knowledge and skills necessary for financial planning, portfolio management, and financial risk mitigation including:
- How to communicate analysis results, recommendations, and solutions to problems to finance professionals, clients, and top executives.
- How to value and budget complex large scale (i.e., valued in billions of dollars), long-term projects and involve multiple entities.
- How to manage large portfolios for mutual funds or pension funds.
- How to value and issue financial securities.
Develop diverse business skills, broader insights, and confidence while expanding your professional network by connecting with your classmates and Mason's international business alumni network of more than 36,000 members. Benefit froma dedicated career services teamthat offers you personalized career coaching, employment and networking opportunities, and planning services for life.