
Drew University

New Jersey
,United States

Program Name
Master of Science in Finance

Deadline
November 01st, 2023
Overview

The Master of Science in Finance at Drew University is tailored for those aspiring to delve deep into the intricate world of finance while gaining the expertise required to navigate its complexities effectively. This program is designed for individuals seeking to advance their careers in finance through a robust curriculum that emphasizes both theoretical knowledge and practical application. As a part of the prestigious Caspersen School of Graduate Studies, the program offers a unique blend of rigorous academics and experiential learning, preparing students to meet the demands of the ever-evolving financial landscape.
The curriculum encompasses a wide array of critical courses that address essential topics such as quantitative analysis, investment management, risk assessment, corporate finance, and financial markets. Students will engage in comprehensive studies that not only cover the foundational principles of finance but also explore advanced concepts that are crucial in today’s global economy. Key courses include Financial Statement Analysis, Portfolio Management, and Advanced Corporate Finance. These courses are aimed at equipping students with the analytical skills necessary to make informed financial decisions and drive business success.
In addition to the academic rigor, students have the opportunity to engage with faculty who are not only experienced educators but also active researchers and professionals in the finance sector. Faculty members come with diverse backgrounds, bringing a wealth of knowledge and insights gained from real-world experience. This dynamic teaching methodology fosters an interactive learning environment where students can thrive, ask questions, and engage in meaningful discussions that challenge conventional thinking. The faculty's commitment to mentorship also provides an invaluable support system for students, guiding them through their academic journey and facilitating their professional development.
Drew University recognizes the importance of research in the field of finance. Thus, the program offers extensive research opportunities, allowing students to work on cutting-edge projects that address current challenges in the financial sector. Students have access to an array of resources, including state-of-the-art laboratories and databases that support their research endeavors. They are encouraged to publish their findings and present at academic conferences, enhancing their visibility and credibility within the academic community and the finance industry.
Moreover, the Master of Science in Finance program has established strong connections with leading financial institutions, offering students numerous internship possibilities that are crucial for gaining hands-on experience. These internships provide students with the chance to apply their classroom knowledge in real-world settings, develop professional networks, and enhance their employability post-graduation. The university's career services team actively assists students in finding internship placements and job opportunities, ensuring a smooth transition from academia to the professional arena.
Upon successful completion of the program, graduates will find themselves well-prepared to enter various sectors within the finance industry. Possible career pathways include roles such as financial analyst, investment banker, risk manager, or portfolio manager. The program's comprehensive training equips students with the essential skills to excel in these positions and adapt to the fast-paced nature of the financial world. Alumni from the program have gone on to achieve remarkable success in their careers, often securing positions in top firms and earning accolades for their contributions to the field of finance.
Why Study Finance at Drew University
- A popular choice for international students, fostering a diverse and inclusive community that enhances cross-cultural understanding and collaboration.
- Learn from esteemed faculty members who bring both academic prowess and industry experience, providing students with insights that are grounded in real-world applications.
- Access to high-end labs and resources that facilitate advanced research work and enhance learning experiences.
- Excellent placement programs that support students in securing internships and job placements, leading to high graduate employability rates.
- A strong emphasis on experiential learning that integrates theoretical knowledge with practical application, preparing students for immediate impact in their careers.
- An engaging and interactive curriculum that fosters critical thinking, innovation, and independent research capabilities among students.
In addition to the academic components, prospective students should be aware of the admission requirements. Candidates for the Master of Science in Finance program are expected to hold a bachelor’s degree from an accredited institution and demonstrate proficiency in English. Acceptable proof includes a minimum score of 6.5 on the IELTS or 80 on the TOEFL exams. The application deadline for the upcoming spring intake is November 1st, 2023, and it is advisable for applicants to prepare their materials early to ensure a smooth application process.
In conclusion, the Master of Science in Finance at Drew University stands out as an exceptional choice for students seeking to deepen their understanding of finance and enhance their career prospects in this dynamic field. With a strong curriculum, experienced faculty, ample research opportunities, and robust industry connections, graduates are well-equipped to thrive in diverse roles within the financial sector. The program not only prepares students for immediate employment but also empowers them to contribute to the future of finance through innovative research and strategic management.

Duration
12 Months
Class Profile
Diversity
Others:
10%International:
5%Connecticut:
10%Pennsylvania:
15%New Jersey:
45%New York:
20%Eligibility Criteria
English Proficiency Tests
IELTS
6.5
TOEFL
80
Application Requirements
Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.
Application Deadlines
Priority 1 | |
---|---|
Spring | Nov 1, 2023 |
Fees and Funding

Tuition Fees
$40,530 / year
FAQs
To apply for the Master of Science in Finance program at Drew University, candidates must meet the following requirements:
- Hold a bachelor’s degree from an accredited institution.
- Demonstrate proficiency in English, which can be proven by achieving a minimum score of 6.5 on the IELTS or 80 on the TOEFL exams.
Additionally, prospective students should note that the application deadline for the upcoming spring intake is November 1st, 2023. It is advisable to prepare application materials early to ensure a smooth submission process.
The Master of Science in Finance program features a comprehensive curriculum that covers essential topics needed to excel in the finance industry. Key areas of study include:
- Quantitative analysis
- Investment management
- Risk assessment
- Corporate finance
- Financial markets
Students will engage with courses such as Financial Statement Analysis, Portfolio Management, and Advanced Corporate Finance. These courses are designed to build foundational knowledge while also exploring advanced concepts relevant in today's global economy.
The teaching methodology in the Master of Science in Finance program emphasizes interaction and engagement. Faculty members are experienced educators and active professionals in the finance sector, bringing real-world insights into the classroom. This dynamic approach fosters:
- An interactive learning environment where students are encouraged to ask questions.
- Meaningful discussions that challenge conventional thinking.
- A strong mentorship system that supports students throughout their academic journey.
This combination of academic rigor and practical application prepares students for real-world challenges in finance.
The Master of Science in Finance program provides several unique opportunities, including:
- Extensive research opportunities that allow students to work on cutting-edge projects addressing current challenges in finance.
- Access to high-end laboratories and databases to support research efforts.
- Encouragement to publish findings and present at academic conferences to enhance visibility in the finance industry.
- Strong connections with leading financial institutions that provide numerous internship possibilities.
These opportunities not only enhance learning but also improve students' employability upon graduation.
Graduates of the Master of Science in Finance program are well-prepared to enter various sectors within the finance industry. Potential career pathways include:
- Financial analyst
- Investment banker
- Risk manager
- Portfolio manager
The program equips students with essential skills to excel in these roles and adapt to the fast-paced nature of the financial world. Alumni have achieved notable success, often securing positions in top firms and earning recognition for their contributions.
Drew University is recognized for its diverse and inclusive community, which enhances cross-cultural understanding and collaboration among students from various backgrounds. The Master of Science in Finance program specifically caters to international students by offering:
- A supportive environment that promotes interaction and networking.
- Access to esteemed faculty who provide insights based on real-world applications.
- Experiential learning opportunities that prepare students for immediate impact in their careers.
This inclusive atmosphere fosters a rich learning experience that appeals to many international applicants.
The Master of Science in Finance program at Drew University has established strong connections with leading financial institutions. This network facilitates numerous internship opportunities for students, which are crucial for gaining hands-on experience. Additionally:
- The university's career services team actively assists students in locating internship placements and job opportunities.
- Students are encouraged to develop professional networks during their internships, which can significantly enhance their employability after graduation.
This support system ensures a smooth transition from academic settings to the professional finance arena.
The curriculum of the Master of Science in Finance program is designed to provide a robust understanding of both the theoretical and practical aspects of finance. Key focuses include:
- Critical courses covering quantitative analysis, investment management, corporate finance, and financial markets.
- Advanced concepts crucial for success in the global economy.
- Development of analytical skills necessary for informed financial decision-making.
This comprehensive approach ensures that students are well-prepared to meet the demands of a rapidly evolving financial landscape.
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