Queen Mary University of London

Master in Corporate Finance MSc

London, United Kingdom

The Master in Corporate Finance MSc at Queen Mary University of London is a 1 year long program for international students taught in English.

Introduction

Queen Mary University of London, with roots dating to 1785 and a current student body of about 32,000, is a major London-based university that blends historic traditions with modern research and teaching. Located in one of the world’s most cosmopolitan cities, Queen Mary hosts approximately 13,120 international students and offers an extensive portfolio of 703 programs across humanities, law, medicine, engineering and the sciences. Its central London setting provides unrivalled cultural, professional and networking opportunities.

The university is known for strong professional programs, research impact and industry links, offering students access to clinical placements, legal clinics, laboratories and entrepreneurial support. Small-group teaching and diverse seminar options complement large lectures, while dedicated career services, internships and mentorship programs help students prepare for competitive job markets. Research-active faculties support postgraduate study and collaborative projects with global partners.

Life at Queen Mary is shaped by London’s vibrant student scene, from arts and dining to industry events and volunteering. Comprehensive international student support, language assistance and accommodation services ease the transition for newcomers. Prospective international applicants should check program-specific entry requirements, scholarship opportunities and early application deadlines to make the most of study and professional pathways in a dynamic global city.

About the Program

The Master in Corporate Finance MSc at Queen Mary University of London is a 1-year program for students who want to master finance skills. This Master's degree helps students develop their knowledge of corporate finance.

The curriculum covers core modules like Investment Management, which introduces students to concepts related to investment analysis, and elective modules like Financial Derivatives, which provides an overview of the theory and practice of pricing and hedging derivative securities. Students learn about valuation of financial securities, portfolio analysis, and risk management.

Graduates of this program can pursue careers as Financial Analysts, Investment Managers, Portfolio Managers, Risk Managers, or Financial Controllers in industries like banking, investment, or finance. They can work for employers like investment banks, financial institutions, or corporations.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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