QS Rank:

5

University of Cambridge

Cambridgeshire
,United Kingdom

Program Rank

2

Program Name
Master's in Finance

Deadline
May 31st, 2026
Overview
The Master's in Finance program at the University of Cambridge is designed to provide an in-depth understanding of financial theories and practices that underpin the industry today. With a focus on both quantitative and qualitative aspects, this program prepares students for a successful career in various finance-related fields. Over the course of 12 months, students engage with a curriculum that blends rigorous academic study with real-world applications, ensuring that graduates possess the skills and knowledge required to excel in a fast-paced financial environment.
The curriculum is meticulously crafted to cover essential topics such as corporate finance, investment analysis, risk management, and financial markets. Core courses include Financial Accounting, Corporate Finance, and Investment Management, complemented by elective modules that allow students to tailor their studies according to their career aspirations. Furthermore, the program integrates contemporary issues such as behavioral finance, sustainable investing, and financial technology (FinTech), equipping students to navigate the evolving landscape of global finance.
A distinctive feature of the Master's in Finance at Cambridge is the emphasis on experiential learning. Students have the opportunity to participate in case studies, simulations, and projects that mirror real-life financial challenges. This hands-on approach not only enhances analytical skills but also fosters critical thinking and decision-making abilities, essential attributes for a successful finance professional. The program also encourages collaboration through group assignments and peer learning, allowing students to benefit from diverse perspectives and experiences.
Faculty members involved in this program are seasoned professionals with extensive expertise in finance and academia. Many are active researchers and practitioners who bring their insights and industry connections into the classroom. Guest speakers from various sectors frequently share their experiences, providing students with firsthand knowledge about current trends and opportunities in finance. This rich blend of teaching methodologies—ranging from lectures to interactive workshops—ensures a dynamic learning environment that stimulates intellectual curiosity and professional growth.
Research opportunities are abundant within the Master's in Finance program. Students can engage with faculty on ongoing research projects or initiate their own studies in finance-related topics of interest. The university's well-equipped financial research lab provides access to cutting-edge tools and databases, supporting students in their academic inquiries. Collaborations with industry partners further enhance research opportunities, allowing students to contribute to real-world financial solutions while gaining practical insights.
As a graduate of this program, students will find themselves well-positioned for a variety of career pathways. Alumni have successfully landed roles as Financial Analysts, Risk Managers, Investment Bankers, and Chartered Financial Analysts (CFA), among others. With a remarkable job placement rate of 84%, the program boasts connections with leading financial institutions and corporations, facilitating internship opportunities that provide invaluable work experience. The robust career services offered by the university also assist students in developing essential skills such as networking, negotiation, and interview techniques, further enhancing their employability.
Moreover, the program has a diverse cohort of students, with an international diversity rate of 40.9%. This multicultural environment enriches the learning experience, allowing students to engage with peers from different backgrounds and perspectives. The exchange of ideas and experiences among students fosters a collaborative spirit, essential for thriving in global finance contexts.
Our alumni network is another key asset of the Master's in Finance program. Graduates often return to share their professional journeys, providing current students with insight into the various career paths available and the challenges they may face. This sense of community and support extends well beyond graduation, with alumni actively engaging in networking events, mentorship programs, and industry conferences organized by the University.
Why Study Master's in Finance at University of Cambridge?
- World-Class Education: Study at one of the top-ranked universities globally, renowned for its academic excellence in finance.
- Expert Faculty: Learn from a distinguished faculty with deep industry connections and active involvement in cutting-edge research.
- Innovative Curriculum: Engage with a diverse range of subjects that address current trends and future challenges in finance.
- Networking Opportunities: Access an expansive alumni network and participate in industry events to connect with potential employers.
- Career Support: Benefit from dedicated career services that enhance your employability through skill-building workshops and personalized advisory sessions.
To be eligible for the Master's in Finance program, applicants must hold a relevant undergraduate degree and meet the minimum English language requirements through standardized tests such as IELTS (minimum score of 7.0) or TOEFL (minimum score of 100). Additional application requirements include transcripts, degree certificates, and letters of recommendation. The application process also involves a personal statement and may require an interview for selected candidates.
In summary, the Master's in Finance at the University of Cambridge offers a comprehensive education that equips students with the skills and knowledge required to excel in the finance sector. The program's exceptional faculty, innovative curriculum, and robust career support make it an ideal choice for aspiring finance professionals seeking to elevate their careers in this dynamic field.

Total Tuition Fees
$60,000

Duration
12 Months
Ranking
#5
The World University Rankings
#5
QS World University Rankings

Intake
Fall ( Sept - Nov )

Intake
Spring ( Apr - June )
Class Profile

Class Size
78

Average Age
25

Average Work Experience
4 Years
Career Outcomes
Prospective Job Roles
Financial Analyst
Investment Banker
Portfolio Manager
Risk Manager
Corporate Finance Associate
Top recruiters





Eligibility Criteria


At least 3.6 / 4.0 undergraduate GPA is expected.

At least 24 months of full-time professional experience after graduation.
English Proficiency Tests
IELTS
7.5

TOEFL
110

Cambridge

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

Resume

English Proficiency Test

Degree Certificate

TOEFL

IELTS

GRE

GMAT

Academic LOR

Interview

Professional LOR

Academic LOR

General LOR

Master SOP
Application Deadlines
| Regular | Rolling Admissions | |
|---|---|---|
| Fall | May 31, 2026 | N/A |
Fees and Funding

Tuition Fees
$60,000 / year

Overall Cost
$79,860 / year
Funding Options
Department Funding
Scholarships
Our MFin students come from a wide range of professional backgrounds and nationalities. Each year, we award several scholarships that recognise a financial need or outstanding academic ability.
Find out more about our available scholarships
Please note: our scholarships are subject to change each recruitment cycle, so you may not find the ones listed below among our currently available scholarships.
FAQs
- We offer an application fee waiver for candidates serving in the military and candidates from countries receiving overseas development aid. If you would like to request an application fee waiver, please contact the admissions team before submitting your application.
- The tuition fees for 2024/25 are £55,080. The first instalment of fees is 10% of the total tuition fee. The deadline for payment is one month after you receive your unconditional offer. The second instalment of 20% is due by 1 June or when the Unconditional Offer is made, whichever is latest. The remaining 70% is due by 1 September.
- No, fees for all Master of Finance students are the same.
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