The vast complexity of financial markets compels industry to look for experts who not only understand how markets work, but also possess the mathematical knowledge to decipher their patterns and the computer skills to exploit them. To achieve success, banking and securities professionals must understand how applied mathematics, computational techniques, statistical analysis, and economic theory inform and impact the areas of securities valuation, risk management, and portfolio structuring. The Master of Science in Financial Engineering program requires a total of 30 graduate credits and is designed to produce graduates who can make pricing, hedging, trading, and portfolio-management decisions in the financial services sector. With sharply honed practical skills complimented by strong technical backgrounds, graduates establish careers in the industries of investment banking, risk management, securities trading and portfolio management.
Official college transcripts from all colleges attended
Official or attested confirmation of bachelor's degree
Two letters of recommendation
Resume or CV
GRE or GMAT scores
GRE scores are required for Graduate Certificate or Master's Degree applicants, and the Doctoral Degree program.