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Santa Clara University

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California

United States

The Master of Science in Finance and Analytics program at Santa Clara University is designed to equip students with the skills and knowledge necessary to navigate the complex and ever-evolving landscape of finance. This innovative program combines rigorous academic coursework with practical, hands-on experiences to prepare graduates for successful careers in finance and analytics. With a focus on both theoretical frameworks and real-world applications, students engage with advanced topics such as financial modeling, data analytics, investment strategies, and risk management.
Students will benefit from a robust curriculum that includes core courses such as Financial Management, Investment Analysis, and Data Analytics for Finance. These courses are complemented by electives that allow students to tailor their educational experience to their career aspirations. Specialized courses like Behavioral Finance and Financial Technology offer insights into niche areas of the finance world, ensuring that graduates are well-versed in both traditional finance principles and contemporary trends. The program is designed to be completed in just nine months, making it an attractive option for students eager to enter the workforce quickly.
The faculty at the Leavey School of Business are distinguished experts in their fields, combining academic prowess with rich industry experience. Faculty members engage in cutting-edge research and are dedicated to fostering an environment that encourages critical thinking and innovation. Students have the unique opportunity to work closely with faculty on research projects, gaining valuable insights and mentorship that enhances their academic journey. This close-knit academic community ensures that students receive personalized attention and support throughout their studies.
Research opportunities abound within the program, as students are encouraged to participate in various projects and initiatives. The university’s strong ties to the Silicon Valley ecosystem facilitate access to industry leaders, innovators, and entrepreneurs, providing students with a rich network of resources. The Finance and Analytics program emphasizes experiential learning through internships and collaborative projects, allowing students to apply their knowledge in real-world settings. This practical experience is invaluable in today’s competitive job market, giving graduates a significant edge as they pursue their careers.
Upon graduation, students can expect to enter a diverse range of career paths in finance, analytics, and investment sectors. The program prepares graduates for roles such as financial analyst, data analyst, investment banker, risk manager, and financial consultant. Santa Clara University boasts an impressive graduate employability rate, with many students securing positions at leading firms and organizations in the finance industry. The university’s extensive alumni network further enhances career opportunities, connecting current students with successful graduates who are eager to mentor and support them in their professional endeavors.
Students pursuing the Master of Science in Finance and Analytics program at Santa Clara University benefit not only from an exceptional curriculum but also from a vibrant campus community. With a student international diversity rate of 24.5%, the program attracts individuals from various backgrounds and cultures, fostering a global perspective that is critical in the finance industry. Students are immersed in a collaborative learning environment that encourages the exchange of ideas and experiences, preparing them for the increasingly interconnected world of finance.
Why Study Finance and Analytics at Santa Clara University?

  • A top-ranked program with a focus on practical training and research opportunities.
  • World-class faculty with extensive industry experience and a commitment to student success.
  • Strong connections to Silicon Valley companies, facilitating valuable internships and job placements.
  • Diverse student body that enriches the learning experience and fosters collaboration.
  • Outstanding career services offering personalized support and resources for job placement.

In terms of admissions, prospective students should be aware of the requirements for the program. Applicants must hold a bachelor’s degree from an accredited institution, and while standardized test scores (e.g., GRE) may not be explicitly required, they can enhance an application. Additionally, international students must provide proof of English proficiency through standardized tests such as the IELTS or TOEFL. For IELTS, a minimum score of 7.0 is required, while the TOEFL demands a minimum score of 100.
The application deadline for the upcoming cohort is April 1st, 2024, allowing prospective students ample time to prepare their applications and secure funding opportunities. The tuition fee for the program is approximately $50,616, reflecting the high-quality education and resources offered at Santa Clara University. Financial aid options may be available for eligible students, and prospective applicants are encouraged to explore these options as they prepare for their graduate studies.
In summary, the Master of Science in Finance and Analytics at Santa Clara University stands out as an exceptional choice for students seeking a comprehensive and practical education in finance. With its rigorous curriculum, esteemed faculty, abundant research and internship opportunities, and a strong emphasis on career outcomes, this program prepares graduates for success in the dynamic and competitive field of finance. With a commitment to excellence and innovation, Santa Clara University empowers students to become the next leaders in finance and analytics.

intake

Duration

9 Months

Class Profile

Diversity

Others:

30%

California:

46%

International:

24%

Eligibility Criteria

English Proficiency Tests

  • IELTS

    7

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  • TOEFL

    100

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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.

      Application Deadlines

      Scholarship Deadline 1
      FallApr 1, 2024

      Fees and Funding

      intake

      Tuition Fees

      $50,616 / year

      FAQs

      • Prospective students must meet the following admissions requirements:

        • Hold a bachelor’s degree from an accredited institution.
        • While standardized test scores (e.g., GRE) are not explicitly required, they can enhance an application.
        • International students must provide proof of English proficiency through standardized tests such as the IELTS or TOEFL. For IELTS, a minimum score of 7.0 is required, and for TOEFL, a minimum score of 100 is needed.
      • The program is structured to be completed in just nine months, providing an intensive educational experience. The curriculum includes:

        • Core courses such as Financial Management, Investment Analysis, and Data Analytics for Finance.
        • Electives that allow students to tailor their education to their career aspirations.
        • Specialized courses like Behavioral Finance and Financial Technology that delve into niche areas of finance.
      • The program employs a combination of rigorous academic coursework and practical, hands-on experiences. Students engage with:

        • Theoretical frameworks and their real-world applications.
        • Experiential learning opportunities such as internships and collaborative projects.
        • Research projects with faculty, enhancing critical thinking and innovation.
      • Graduates can expect to pursue a diverse range of career paths in finance, analytics, and investment sectors. Potential roles include:

        • Financial Analyst
        • Data Analyst
        • Investment Banker
        • Risk Manager
        • Financial Consultant

        Additionally, the university boasts an impressive graduate employability rate, with many students securing positions at leading firms in the finance industry.

      • Key highlights of the program include:

        • A top-ranked program with a focus on practical training and research opportunities.
        • World-class faculty with extensive industry experience and a commitment to student success.
        • Strong connections to Silicon Valley companies, facilitating valuable internships and job placements.
        • A diverse student body that enriches the learning experience.
        • Outstanding career services offering personalized support for job placement.
      • The program offers several unique aspects:

        • A close-knit academic community that fosters personalized attention and support.
        • Opportunities to work closely with faculty on research projects.
        • Access to a rich network of industry leaders and resources through the university’s ties to Silicon Valley.
        • Encouragement of participation in various research initiatives and projects.
      • The application deadline for the upcoming cohort is April 1st, 2024. This gives prospective students ample time to prepare their applications and secure funding opportunities.

      • The tuition fee for the Master of Science in Finance and Analytics program is approximately $50,616. Financial aid options may be available for eligible students, and prospective applicants are encouraged to explore these options as they prepare for their graduate studies.

      • The program attracts a diverse student body with an international diversity rate of 24.5%. This diversity enriches the learning experience by:

        • Fostering collaboration and the exchange of ideas among students from various backgrounds and cultures.
        • Preparing students for the increasingly interconnected world of finance.

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