

The Finance Bachelor of Science program at the University of Miami offers a four year curriculum designed to prepare students for careers in financial analysis, investment management, and corporate finance. The program emphasizes analytical skills, strategic decision-making, and financial literacy, equipping learners to evaluate financial markets, manage investment portfolios, and support organizational financial planning. Students gain expertise in financial accounting, corporate finance, investment analysis, risk management, and financial modeling, enabling them to make informed financial decisions and contribute to business success.
Throughout the program, students engage in interactive coursework, case studies, and practical projects that connect theory with real-world financial practices. The curriculum covers financial management, investment strategies, quantitative methods, banking systems, and international finance, while also offering opportunities to explore electives in behavioral finance, corporate strategy, and financial technology. By integrating classroom learning with experiential practice, the program prepares graduates for careers in investment firms, banking institutions, corporate finance departments, and financial consulting, while also providing a strong foundation for graduate studies in finance, business administration, or economics.
Year 1 - Foundations in Finance
• Principles of Financial Accounting
• Principles of Microeconomics
• Principles of Macroeconomics
• College Algebra and Quantitative Methods
Year 2 - Core Financial Analysis
• Corporate Finance
• Financial Markets and Institutions
• Business Statistics
• Electives in Finance or Accounting
Year 3 - Advanced Financial Topics
• Investment Analysis and Portfolio Management
• Risk Management and Derivatives
• International Finance
• Electives in Behavioral Finance or Financial Technology
Year 4 - Capstone and Professional Integration
• Senior Research Project or Internship
• Advanced Topics in Corporate Finance
• Applied Financial Analysis
• Career Preparation and Professional Development
Graduates of this program are prepared for professional roles in investment management, corporate finance, financial consulting, banking, and risk analysis. Career paths include positions in investment banks, corporate finance departments, financial advisory firms, insurance companies, and government financial agencies, where professionals analyze financial data, manage investments, and develop strategies to optimize financial performance. Alumni may also pursue graduate studies in finance, business administration, or economics, contributing to corporate strategy, portfolio management, and financial innovation. The program equips students with analytical, quantitative, and strategic skills necessary to succeed in dynamic financial environments.
Students seeking a program that combines financial theory, analytical skills, investment strategy, and career preparation will find this degree highly valuable. Its four year structure allows learners to progress from foundational financial concepts to advanced corporate finance, applied projects, and a senior capstone experience. The program provides mentorship from experienced faculty, access to financial tools and simulations, and opportunities for internships and professional networking, fostering both intellectual growth and career readiness. It is ideal for individuals aiming to pursue careers in investment management, corporate finance, financial consulting, or graduate studies in finance and related fields.
For further information, please contact the admissions office at:
Phone: +1 305 284 2000
Email: admissions@miami.edu
Address: University of Miami, 1320 S Dixie Hwy, Coral Gables, FL 33146, United States