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Massey's Master of Finance (Risk Analytics) integrates advanced financial theory with professional research to complete the degree. Upon graduating with this specialization, you will:
acquire fundamental expertise and specialized skills in risk analytics for a career as a financial risk professional;
cultivate a global outlook on risk analytics practices;
learn to implement research methodologies in business contexts;
You will produce detailed written reports and case studies on risk analytics subjects, while effectively conveying your expertise both verbally and in writing.
All students must meet university entrance requirements to be admitted to the University.
Specific requirements
To enter the Master of Finance you will have been awarded or qualified for a relevant bachelor's degree or equivalent qualification, with a minimum C+ grade average in the highest level courses.
If you have a Bachelor of Business Studies with Honours, or the equivalent degree of another recognised university, you may apply for credit towards Part One of the qualification in accordance with the limits specified in the Recognition of Prior Learning regulations.
You will provide verified copies of all academic transcripts for studies taken at all universities other than Massey University.
International English Language Requirements: