
Georgia State University

Georgia
,United States

Program Name
Master of Science in Finance

Deadline
October 03rd, 2023
Overview

The Master of Science in Finance program at Georgia State University is designed to equip students with profound knowledge and specialized skills in the dynamic world of finance. This rigorous program delves deep into fundamental and advanced finance concepts, blending theoretical frameworks with practical applications. Students in this program will encounter a diverse array of subjects such as corporate finance, investment analysis, financial markets, and risk management, ensuring a well-rounded education that prepares them for various roles in the finance sector. The curriculum is structured to foster analytical thinking and strategic decision-making, essential skills for today's finance professionals.
One of the key features of the program is its comprehensive curriculum, which includes essential core courses like Financial Management, Investment Analysis, and Financial Reporting. Beyond these core subjects, students can tailor their education by selecting from a range of electives that cover both traditional and contemporary finance topics, such as Behavioral Finance, Real Estate Investment, and International Finance. This flexibility allows students to align their studies with their career aspirations and interests, ensuring a highly personalized educational experience.
The faculty at the J. Mack Robinson College of Business is comprised of acclaimed experts in finance, many of whom have extensive experience in both academia and industry. The faculty's diverse backgrounds and areas of research expertise provide students with unique insights into real-world finance challenges. Learning from renowned professors who are actively engaged in research and publishing allows students to stay abreast of current trends and advancements in the field. Moreover, faculty members are dedicated to fostering a collaborative learning environment where students are encouraged to participate in discussions, engage in critical thinking, and develop their research skills.
Research opportunities are abundant in this program, with students encouraged to participate in various projects that align with their career goals. The university's state-of-the-art facilities and resources, including cutting-edge financial labs and access to extensive databases, provide an interactive and dynamic learning environment. Students also have the chance to collaborate on faculty-led research projects, gaining hands-on experience that can significantly enhance their understanding of financial theories and practices. The program emphasizes the importance of practical experience, which prepares graduates for successful careers in various finance sectors.
The Master of Science in Finance program at Georgia State University offers strong industry connections and internship opportunities, positioning students for success in their future careers. The university's location in Atlanta, a major financial hub, provides students with access to top-tier companies and organizations, facilitating meaningful internships that can lead to job placements post-graduation. The university's extensive alumni network also plays a crucial role in connecting current students with potential employers, offering mentorship and guidance as they navigate their career paths.
Upon completion of the program, graduates can expect a wide range of career pathways, including roles in investment banking, corporate finance, financial analysis, and risk management. The skills acquired throughout the program are highly sought after, contributing to impressive job placement rates. Alumni of the program have successfully secured positions in prestigious companies and organizations, and many have achieved remarkable success in their respective fields. Their success stories serve as a testament to the quality of education and support provided by Georgia State University.
Here are some compelling reasons why you should study Finance at Georgia State University:
- Diverse Community: The program attracts a vibrant mix of international students, fostering a multicultural learning environment that enriches the educational experience.
- Expert Faculty: Learn from accomplished faculty members who are industry leaders and researchers, providing students with invaluable insights into the finance world.
- State-of-the-Art Facilities: Access to advanced financial labs and resources enhances the learning experience and facilitates cutting-edge research opportunities.
- Strong Industry Connections: Benefit from Georgia State's extensive network of industry relationships that opens doors to internships and job placements.
- Career Support: Students receive tailored career guidance and support, leading to a high graduate employability rate.
- Flexibility in Curriculum: The ability to tailor your educational experience with electives allows for a personalized learning journey that aligns with your professional goals.
To be eligible for the Master of Science in Finance program, applicants must meet specific requirements, including a completed application form, a non-refundable application fee of $50, and submission of standardized test scores, such as the GRE or GMAT, which may be required but are currently under review. Additionally, proficiency in English is mandatory for non-native speakers, with minimum scores required on tests such as the IELTS (minimum total score of 6.5) or TOEFL (minimum total score of 90). Comprehensive application deadlines must also be adhered to, with the upcoming Fall deadline on October 3rd, 2023.
In summary, the Master of Science in Finance at Georgia State University offers an unparalleled educational experience, combining rigorous academic training with practical application and industry engagement. Its innovative curriculum, esteemed faculty, and strong career support make it an ideal choice for students looking to advance their careers in finance.

Duration
12 Months
Ranking
#234
US World and News Report
Class Profile
Diversity
International:
5%Others:
5%Asian:
6%Hispanic:
10%African American:
47%White:
32%Eligibility Criteria
English Proficiency Tests
IELTS
6.5
TOEFL
90
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 Fee: 50
Application Deadlines
Round 1 | |
---|---|
Fall | Oct 3, 2023 |
Fees and Funding

Tuition Fees
$43,500 / year
FAQs
To be eligible for the Master of Science in Finance program, applicants must meet specific requirements, including:
- A completed application form
- A non-refundable application fee of $50
- Submission of standardized test scores, such as the GRE or GMAT (currently under review)
- Proficiency in English for non-native speakers, with minimum scores required on tests such as the IELTS (minimum total score of 6.5) or TOEFL (minimum total score of 90)
Additionally, applicants must adhere to comprehensive application deadlines, with the upcoming Fall deadline on October 3rd, 2023.
The program features a comprehensive curriculum that includes essential core courses such as:
- Financial Management
- Investment Analysis
- Financial Reporting
Beyond these core subjects, students have the flexibility to tailor their education by selecting from a range of electives covering both traditional and contemporary finance topics, such as:
- Behavioral Finance
- Real Estate Investment
- International Finance
This structure allows students to align their studies with their career aspirations and interests, ensuring a personalized educational experience.
The program emphasizes a blend of theoretical frameworks and practical applications, fostering analytical thinking and strategic decision-making. Students learn from acclaimed faculty who have extensive experience in both academia and industry. This collaborative learning environment encourages:
- Participation in discussions
- Engagement in critical thinking
- Development of research skills
Additionally, there are abundant research opportunities, with students encouraged to collaborate on faculty-led projects, enhancing their understanding of financial theories and practices.
Several compelling features make the program unique, including:
- Diverse Community: The program attracts a vibrant mix of international students, enriching the educational experience.
- Expert Faculty: Students learn from accomplished faculty members who are industry leaders and researchers.
- State-of-the-Art Facilities: Access to advanced financial labs and resources enhances the learning experience.
- Strong Industry Connections: The university's extensive network facilitates meaningful internships and job placements.
- Flexibility in Curriculum: The ability to tailor the educational experience with electives allows for a personalized learning journey.
Graduates can expect a wide range of career pathways, including roles in:
- Investment Banking
- Corporate Finance
- Financial Analysis
- Risk Management
The skills acquired throughout the program are highly sought after, contributing to impressive job placement rates. Alumni have successfully secured positions in prestigious companies and organizations, and many have achieved remarkable success in their respective fields.
The program offers strong industry connections and internship opportunities, positioning students for success in their future careers. The university's location in Atlanta, a major financial hub, provides:
- Access to top-tier companies and organizations
- Facilitated meaningful internships that can lead to job placements post-graduation
Moreover, the extensive alumni network plays a crucial role in connecting current students with potential employers, offering mentorship and guidance as they navigate their career paths.
The program emphasizes the importance of practical experience, with abundant research opportunities available. Students are encouraged to:
- Participate in various projects that align with their career goals
- Collaborate on faculty-led research projects
These opportunities allow students to gain hands-on experience, significantly enhancing their understanding of financial theories and practices.
Students in the Master of Science in Finance program have access to state-of-the-art facilities and resources, including:
- Cutting-edge financial labs
- Access to extensive databases
These resources create an interactive and dynamic learning environment, enhancing both the educational experience and the ability to engage in cutting-edge research opportunities.
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