
HEC Montréal

Quebec
,Canada

Program Name
Master of Science in Finance

Deadline
September 15th, 2024
Overview

The Master of Science in Finance program at HEC Montréal is carefully designed to equip students with the critical analytical tools and comprehensive knowledge required to excel in the complex and rapidly evolving world of finance. Recognized globally for its excellence, the program consistently ranks among the top finance degree offerings, attracting an impressive cohort of international students. With a focus on enhancing employability, the curriculum not only emphasizes theoretical understanding but also incorporates practical, real-world applications of financial principles. This dual approach ensures that students emerge as well-rounded finance professionals capable of navigating diverse financial landscapes.
At HEC Montréal, the Master of Finance curriculum is meticulously structured to cover essential topics including portfolio management, investment analysis, financial risk management, and corporate finance. Core courses such as Investment Performance Analysis, Private Equity and Venture Capital, and Risk Management Strategies are complemented by elective courses that allow students to tailor their educational experience to their career aspirations. This flexibility promotes a deeper understanding of complex financial systems and enables students to engage in specialized research, enhancing their academic and professional profiles.
Moreover, the program benefits from a distinguished faculty composed of seasoned academics and industry practitioners. These experts utilize innovative teaching methodologies that blend traditional lectures with interactive case studies, simulations, and collaborative projects. Such an approach not only fosters an engaging learning environment but also encourages critical thinking and problem-solving skills essential for modern finance professionals. This hands-on experience is further augmented by the program's extensive resources, including access to state-of-the-art financial labs and software tools that are frequently used in industry.
Research opportunities abound at HEC Montréal, with students encouraged to partake in groundbreaking finance research projects. Collaboration with faculty on research initiatives provides students with invaluable insights into current financial issues and trends, enhancing their analytical capabilities. Furthermore, the program's strong ties with industry partners facilitate networking opportunities and potentially lead to internships, making it easier for students to gain practical experience while still pursuing their studies. These connections not only bolster the educational experience but also significantly improve job prospects upon graduation.
As graduates of the program, students are well-prepared to enter a wide array of roles in the finance sector. Some common career pathways include positions such as Financial Analyst, Investment Analyst, and Risk Manager. Organizations actively seek graduates from HEC Montréal due to their rigorous training and the skills they have developed throughout the program. The program boasts a remarkable job placement rate, with many alumni successfully securing positions with prestigious companies such as Citigroup, Morgan Stanley, and HSBC. Testimonials from former students highlight the program's profound impact on their careers, citing the practical experience gained through projects and internships as a significant advantage.
Why Study Master of Science in Finance at HEC Montréal
- Renowned Faculty: Learn from seasoned professionals and leading academics in the finance field, ensuring a rich, engaging educational experience.
- Comprehensive Curriculum: The program covers a broad spectrum of finance topics, equipping students with the skills needed to excel in various finance roles.
- Industry Connections: Benefit from strong partnerships with top organizations, providing opportunities for internships and networking.
- Research Opportunities: Engage in significant research projects alongside faculty, enhancing both academic knowledge and practical skills.
- High Employability: Graduates boast a notable job placement rate, with many securing roles in prestigious companies worldwide.
- Supportive Environment: Experience a vibrant educational community with diverse international students, fostering global perspectives in finance.
To be eligible for the Master of Science in Finance program, applicants must meet certain academic criteria. This includes possessing a Bachelor’s degree in finance or a related field. Additionally, candidates are required to submit standardized test scores such as the GMAT or GRE, alongside English language proficiency results from tests like IELTS, TOEFL, or PTE. Prospective students should also provide letters of recommendation and a personal statement as part of their application package.
As a part of the application process, candidates should be mindful of the deadlines, including the upcoming standard deadline set for September 15th, 2024. HEC Montréal also offers various funding options, including scholarships totaling nearly $1.6 million annually, which can significantly alleviate the financial burden of pursuing a graduate degree.
The Master of Science in Finance program at HEC Montréal stands out not only for its robust curriculum and esteemed faculty but also for the abundant opportunities it provides for research, internships, and career advancement. Whether you aspire to work in corporate finance, investment banking, or risk management, this program is positioned to help you achieve your professional goals while preparing you for the dynamic challenges of the finance landscape.

Total Tuition Fees
$31,780

Duration
16 Months
Ranking
#151
US World and News Report

Intake
Fall ( Sept - Nov )

Intake
Winter ( Jan - Mar )
Class Profile

Class Size
40

Average Age
23

Average Work Experience
2 Years
Diversity
Others:
2%Ontario:
25%Manitoba:
5%Quebec:
45%British Columbia:
15%Alberta:
10%New Brunswick:
2%Career Outcomes
A step towards your future career
Organizations trust the expertise acquired by students with this master’s degree. This is evidenced by examples of recently proposed supervised projects.
- Portfolio construction and investment performance analysis
- Development of private equity and venture capital investment strategies
- Study of pricing and option valuation methods
- Analysis of investment and financing decisions
- Implementation of optimal risk management hedging measures
Positions held by program graduates:
- Business intelligence analyst
- Financial analyst
- Investment analyst
- Market parameters analyst
- Risk manager

Job Placement
100%
Prospective Job Roles
IT Risk Manager
Market Analyst
Financial Risk Manager
Healthcare Business Intelligence Analyst
Business Intelligence Analyst
Financial Analyst
Risk Manager
IT Business Intelligence Analyst
Top recruiters







Eligibility Criteria
English Proficiency Tests
IELTS
7
TOEFL
95
PTE
66
Standardised Test Score
GMAT
630
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: 310
Transcript
TOEFL
IELTS
PTE
Academic LOR
Professional LOR
GRE
GMAT
Application Deadlines
Standard Deadline | |
---|---|
Winter | Sep 15, 2024 |
Fees and Funding

Tuition Fees
$23,800 / year

Overall Cost
$62,432 / year
Funding Options
Department Funding
Scholarships
Every year, HEC Montréal awards close to $1.6 million in scholarships and other forms of awards to M.Sc. students. What a great way to help finance your studies!
Click here for more information.
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