QS Rank:

5

University of Cambridge

Cambridgeshire
,United Kingdom

Program Rank

2

Program Name
Masters in Finance

Deadline
May 31st, 2025
Overview

The Master of Finance program at the University of Cambridge is designed to offer an unparalleled educational experience characterized by rigorous academic training and practical application in the field of finance. This esteemed program is consistently ranked among the top finance master's degrees globally, enabling students to gain comprehensive knowledge and expertise that is highly valued in the competitive job market. The curriculum is meticulously crafted to cover a broad range of financial concepts, theories, and practices, ensuring that graduates are well-equipped to navigate the complexities of the financial world.
Students embarking on this transformative journey will engage in a curriculum that includes core modules such as Financial Markets, Quantitative Finance, Corporate Finance, and Risk Management. Additionally, the program offers elective courses that allow students to tailor their education to their specific interests and career aspirations. This flexibility enables students to delve deeper into specialized areas such as Behavioral Finance, Mergers and Acquisitions, and Sustainable Finance, among others. Learning is enhanced through case studies, simulations, and hands-on projects that prepare students to apply their knowledge in real-world scenarios.
The faculty at the Cambridge Judge Business School are distinguished experts in their fields, bringing a wealth of academic and industry experience to the classroom. They employ innovative teaching methodologies that emphasize critical thinking, analytical skills, and collaborative learning. Students benefit from small class sizes, which foster personalized attention and meaningful interactions with faculty and peers alike. This engaging educational environment encourages students to challenge conventional wisdom and develop their unique perspectives on financial issues.
Research opportunities are abundant within the Master of Finance program, as students are encouraged to engage in independent study and contribute to ongoing research projects initiated by faculty members. The university supports a robust research culture, providing state-of-the-art facilities and resources, including access to extensive financial databases and analytical software. This emphasis on research not only deepens students' understanding of financial concepts but also enhances their critical thinking and problem-solving skills, making them more marketable in their future careers.
Networking and industry connections play a pivotal role in the success of Master of Finance graduates. The University of Cambridge has established strong ties with leading financial institutions and organizations worldwide, facilitating internship opportunities and job placements. The university's dedicated career services team offers guidance and resources to help students navigate their career paths effectively. With an impressive median base salary of $110,000 post-graduation, alumni of the program have secured positions in various fields, including investment banking, asset management, and financial consulting.
Moreover, the diverse student body contributes to a rich learning experience as students come from various cultural and professional backgrounds. This diversity fosters collaboration, idea exchange, and a broader understanding of global finance dynamics. The program's acceptance rate of just 21% underscores its selectivity and the caliber of students it attracts, creating an enriching learning environment where high-achieving individuals can thrive together.
Alumni of the program have gone on to achieve remarkable success, holding prominent positions such as Financial Auditors, Financial Controllers, and Directors of Financial Aid, among others. Their real-world experiences and testimonials highlight the effectiveness of the program in preparing students for the challenges they face in the finance sector. Many alumni maintain close ties with the university, often returning to share insights and opportunities with current students, further enhancing the program's community and support network.
Here are several compelling reasons to choose the Master of Finance at the University of Cambridge:
- Globally recognized program consistently ranked among the best in finance education.
- Diverse international community that enriches the learning experience through varied perspectives.
- Access to leading faculty members and opportunities to assist in groundbreaking research.
- State-of-the-art facilities and resources, including advanced laboratories for practical training.
- Strong industry connections facilitate internships and excellent job placement opportunities post-graduation.
- Comprehensive curriculum with the flexibility to focus on specific finance areas of interest.
- A strong alumni network that provides continuous support and career development opportunities.
To be eligible for the Master of Finance program, applicants must meet specific requirements, including a minimum of 36 months of full-time professional experience and an undergraduate GPA of at least 3.7 on a 4.0 scale. Additionally, candidates must have completed a minimum of 15 years of education. English proficiency is required, with standardized test scores from IELTS (minimum 7.0) or TOEFL (minimum 100) required for non-native speakers.
Application requirements include a $120 application fee, official transcripts, a resume, a passport, a statement of purpose, and letters of recommendation. The final deadline for applications for the Fall intake is May 31st, 2025, so early preparation is highly encouraged.
In conclusion, the Master of Finance at the University of Cambridge not only provides a robust academic framework but also cultivates the skills and connections necessary for a successful career in finance. With its esteemed faculty, comprehensive curriculum, and extensive career support, this program is an excellent choice for aspiring finance professionals.

Total Tuition Fees
$57,850

Duration
12 Months

Median Salary
$1,10,000
Ranking
#5
The World University Rankings
#5
QS World University Rankings

Intake
Fall ( Sept - Nov )
Class Profile

Class Size
89

Average Age
28

Average Work Experience
4 Years
Diversity
Africa:
1%UK:
67%Asia:
5%Others:
5%Oceania:
2%Europe:
13%North America:
7%Career Outcomes

Median Earnings After Graduation
$1,10,000 / year

Graduation Rate
95%
Prospective Job Roles
Director of Financial Aid
Financial Auditor
Financial Regulator
China Finance Analyst
Kinesiology Finance Manager
Financial Aid Counselor
Healthcare Finance Manager
Financial Advisor
Financial Programmer
Finance
Manager of Finance
Vice President of Finance
Trade Finance Analyst
Finance Analyst
Financial Controller
Finance Manager
Top recruiters















Eligibility Criteria

At least 36 months of full-time professional experience after graduation.

At least 3.7 / 4 undergraduate GPA is expected.

At least 15 years of bachelor degree.
English Proficiency Tests
IELTS
7
TOEFL
100
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: 120
Transcript
Passport
Statement of Purpose
Resume
IELTS
Academic LOR
Professional LOR
Academic LOR
Class 10 Marksheets
Class 12 Marksheets
Application Deadlines
Final Deadline | |
---|---|
Fall | May 31, 2025 |
Fees and Funding

Tuition Fees
$57,850 / year

Overall Cost
$75,000 / year
FAQs
- Yes. We are delighted to be attending overseas events again, and hosting in-person events at the Business School. We look forward to meeting you!
- No, the MFin is a full-time programme. There is no part-time or online option.
- Yes, you must be ‘in residence’ at the University for all 3 terms of the programme and it is not possible to commute from elsewhere. Formally, this means that you must live within 10 miles of the University Church of Great St Mary in Central Cambridge for at least 59 days of the Michaelmas (first) and Lent (second) terms, and 56 days for the Easter (third) term.
- The Master of Finance programme starts in mid-September each year and runs for 12 months. You cannot start at any other point in the year.
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