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QS Rank:

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3

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London Business School

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United Kingdom

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Program Rank

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6

The Masters in Financial Analysis program at London Business School is a premier academic offering designed to prepare aspiring finance professionals for the complexities of today's financial landscapes. With a rigorous curriculum tailored to provide both theoretical knowledge and practical skills, students emerge with the confidence and expertise required to excel in various financial sectors. The program spans 12 months and is structured to incorporate cutting-edge industry practices, ensuring graduates are not just participants in the financial world, but leaders who can drive innovation and change.

The curriculum is meticulously crafted to cover essential areas such as financial analysis, investment management, and corporate finance. Core courses include Financial Accounting, Corporate Finance, and Financial Modeling, complemented by elective options that allow students to delve deeper into specialized topics like risk management and alternative investments. By integrating both quantitative and qualitative approaches, students learn to analyze financial statements, evaluate business performance, and develop strategic financial plans.

Beyond the classroom, the program emphasizes the importance of real-world experience. Students are encouraged to engage in practical projects, case studies, and simulations that mimic actual financial scenarios. This hands-on approach not only reinforces learning but also equips students with the tools necessary to make sound financial decisions in high-pressure environments. The capstone project integrates all learning, requiring students to apply their knowledge to a comprehensive financial analysis and strategy presentation.

Faculty members at London Business School are world-renowned experts in their fields, bringing a wealth of experience from academia and industry. They utilize innovative teaching methodologies that include interactive lectures, group discussions, and case studies, fostering an environment conducive to collaborative learning. Professors often share insights from their personal careers, bridging the gap between theory and practice, thereby enriching the educational experience.

Research opportunities are abundant, with access to state-of-the-art resources and databases that allow students to explore contemporary financial issues. The school maintains strong connections with industry leaders and organizations, providing students with valuable networking opportunities. Internships are a crucial component of the program, enabling students to gain firsthand experience and establish relationships within the finance community.

Graduates of the Masters in Financial Analysis program pursue diverse career pathways in sectors such as banking, investment, consulting, and corporate finance. Job roles commonly filled by alumni include Financial Analyst, Financial Manager, and Director of Finance, among others. The program boasts a remarkable graduation rate of 94% and a median base salary for graduates of $110,000, highlighting the strong return on investment and career prospects available to students.

Alumni success stories are a testament to the effectiveness of the program. Many graduates have advanced to leadership positions in prestigious firms, contributing to the program's reputation as a fertile ground for talent. Testimonials reflect the transformative impact of the education received, emphasizing the importance of critical thinking and analytical skills developed during their studies.

In addition to its robust curriculum, the Masters in Financial Analysis program at London Business School has several unique features that set it apart. The program is designed to foster a strong sense of community among students, encouraging collaboration and networking that extends beyond graduation. Additionally, the school's location in one of the world's major financial hubs provides unparalleled access to industry events, seminars, and conferences.

**Why Study Masters in Financial Analysis at London Business School**

  • Highly ranked program: Consistently placed among the top business schools globally, ensuring a prestigious degree.
  • Expert faculty: Learn from leading academics and industry professionals with extensive experience.
  • Networking opportunities: Develop connections with peers and industry professionals, enhancing job prospects post-graduation.
  • Practical learning: Engaging projects and internships provide real-world experience essential for career advancement.
  • Career support: Access to career services and placement support to navigate the job market effectively.

To apply for the program, candidates should meet specific eligibility requirements. A minimum GPA of 3.3 on a 4.0 scale is expected, alongside at least 15 years of education culminating in a bachelor’s degree. Prospective students must submit a completed application along with a $125 application fee, which includes a transcript, a statement of purpose, a resume, and two letters of recommendation (one academic and one professional). Additionally, English language proficiency is a requirement, demonstrated through standardized tests like IELTS (minimum score of 7.0) or TOEFL (minimum score of 100).

The application deadlines for this program are critical for prospective students to remember. The standard deadline for fall admission is May 1st, 2025. Early application is encouraged due to the competitive acceptance rate of 20% and limited class sizes, ensuring personalized attention and a collaborative learning environment.

In summary, the Masters in Financial Analysis at London Business School is an exceptional program that equips students with the knowledge, skills, and connections necessary to thrive in the dynamic field of finance. With a focus on practical application and a commitment to excellence, this program is the ideal choice for those looking to make significant strides in their financial careers.

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Total Tuition Fees

$47,500

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Duration

12 Months

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Median Salary

$1,10,000

Ranking

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#3

QS World University Rankings

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Intake

Fall ( Sept - Nov )

Class Profile

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Class Size

50

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Average Age

26

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Average Work Experience

2 Years

Career Outcomes

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Median Earnings After Graduation

$1,10,000 / year

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Graduation Rate

94%

Prospective Job Roles

Financial Manager

Director of Financial Aid

China Finance Analyst

Assistant Director of Financial Aid

Financial Analyst

Business Analyst

Financial Planner

Director of Finance

Business Development Associate

International Business Analyst

Financial Controller

Top recruiters

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Eligibility Criteria

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At least 3.3 / 4 undergraduate GPA is expected.

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At least 15 years of bachelor degree.

English Proficiency Tests

  • IELTS

    7

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  • TOEFL

    100

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  • PTE

    76

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  • DUOLINGO

    135

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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.

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Application Fee: 125

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    Transcript

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    Passport

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    Statement of Purpose

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    Resume

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    IELTS

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    Academic LOR

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    Professional LOR

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    GMAT

Application Deadlines

Standard Deadline
FallMay 1, 2025

Fees and Funding

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Tuition Fees

$47,500 / year

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Overall Cost

$65,000 / year

FAQs

  • A year-long project is a programme requirement. There are at least four broad topics to choose from and you have some choice in how to focus your discussion. This piece of work can be brought to interviews, worked on throughout the year and practised to fine-tune your presentation skills.
  • A unique feature of our programme is that it combines in-depth lectures with practical workshops and seminars led by practitioners working in the finance Industry. Those experts not only dig deep into the material and problem-sets created by faculty, but also share modelling methods and best practices from their companies. You will take an Introduction to Valuation and Modelling workshop during Foundations and Careers Bootcamp Week to prepare for the autumn recruitment season. In addition, there will be modelling opportunities across the core courses and in some electives.
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  • The Masters in Finance (MiF) offers thorough and focused training in finance and is aimed at people who have worked in the sector for a minimum of two and an average of five years who wish to advance their careers. MiF students may take this programme in order to deepen their existing financial knowledge, or to move into a different role in the industry. You have the option to take the MiF on a full- or part-time basis for 10–16 or 22 months respectively.

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