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The Finance program provides an intensive and applied study of financial management, investment analysis, and corporate finance. Over ten months, students explore financial modeling, risk management, portfolio management, and global financial markets, integrating theoretical knowledge with practical applications. The curriculum emphasizes analytical thinking, quantitative skills, and strategic decision-making, enabling learners to evaluate financial performance, optimize investments, and make data-driven financial decisions. Through case studies, workshops, and applied projects, students develop the expertise necessary to advance financial analysis, investment strategy, and corporate decision-making.
Students also participate in simulations, research projects, and collaborative financial analyses, fostering both technical and professional competencies. Mentorship from experienced faculty provides guidance in financial modeling, risk assessment, and investment evaluation, preparing students to tackle complex challenges in global finance. By the end of the program, graduates leave with strong quantitative, analytical, and strategic skills, equipped to contribute effectively to financial management, investment planning, and corporate finance initiatives.
Semester 1 β Foundations in Finance
Semester 2 β Advanced Applications & Capstone
Graduates are prepared for careers as financial analysts, investment managers, risk analysts, corporate finance specialists, and portfolio managers. They may work in banks, investment firms, consulting companies, or corporate finance departments. The program equips students with skills in financial modeling, investment evaluation, risk assessment, and data-driven decision-making, enabling them to optimize financial strategies and improve organizational performance. Alumni often contribute to investment projects, financial planning, and corporate strategy. With applied and analytical expertise, graduates gain a distinctive advantage in finance and investment careers.
This program is ideal for students seeking advanced expertise in finance, investment management, and corporate financial strategy with both practical and research-based experience. The ten-month structure allows learners to develop foundational and specialized skills, engage in applied financial projects, and complete a capstone under faculty mentorship. By participating in workshops, case studies, and simulations, students cultivate critical thinking, quantitative skills, and professional competencies in finance. The curriculum emphasizes analytical application, investment strategy, and risk management, preparing graduates to make meaningful contributions to corporate finance, investment planning, and financial decision-making.
For further information, please contact the admissions office at:
Phone: +1 (512) 471-3434
Email: gradadmissions@utexas.edu
Address: 110 Inner Campus Drive, Stop G1800, Austin, TX 78712, USA