

The Finance Bachelor of Science program at Pennsylvania University is a four-year, full-time undergraduate program designed to provide students with a comprehensive understanding of financial theory, markets, and decision-making processes. The curriculum integrates investment analysis, corporate finance, financial modeling, risk management, and economics, enabling students to evaluate financial instruments, assess business performance, and make data-driven financial decisions. Students engage in case studies, research projects, and applied exercises, developing the analytical and quantitative skills necessary to navigate complex financial environments effectively.
Throughout the program, students participate in seminars, experiential learning, and mentorship guided by faculty experts in finance, economics, and investment analysis. The program emphasizes critical thinking, problem-solving, and quantitative reasoning, preparing graduates to analyze market trends, manage financial resources, and implement strategic financial decisions. Students leave the program with analytical proficiency, financial literacy, research competence, and decision-making ability, fully prepared for careers or advanced study in finance, investment, or related business fields.
Year 1 β Foundations in Finance
Year 2 β Intermediate Finance and Analysis
Year 3 β Advanced Financial Applications
Year 4 β Capstone and Professional Integration
Graduates of the Finance program are prepared for careers in investment banking, corporate finance, asset management, financial consulting, risk management, and financial planning. Alumni may work as financial analysts, portfolio managers, consultants, or pursue graduate studies in finance, business administration, or economics. The program equips graduates to analyze complex financial data, develop investment strategies, and manage organizational financial resources effectively. With strong analytical, quantitative, and decision-making skills, graduates are highly competitive in professional and academic environments focused on financial strategy and market analysis.
This program is distinguished by its integration of financial theory, investment analysis, quantitative methods, and applied practice within a four-year curriculum. Students benefit from mentorship, hands-on projects, and internships that connect theoretical knowledge with real-world financial challenges. The curriculum emphasizes critical thinking, problem-solving, and interdisciplinary application, preparing graduates to make strategic financial decisions, analyze market trends, and contribute to organizational success. For students passionate about understanding financial markets, developing investment expertise, and applying analytical skills to business challenges, this program offers a rigorous, immersive, and career-focused pathway to professional and academic success.
For further information, please contact the admissions office at:
Phone: +1 215 898 5000
Email: admissions@upenn.edu
Address: University of Pennsylvania, Philadelphia, PA 19104, United States