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This Master's program in Financial Technology (FinTech) equips students with essential big data skills, programming expertise, and analytical capabilities highly sought after by financial institutions and insurers. Graduates will develop a thorough grasp of finance's evolving landscape and how accounting practices, business information systems, and analytical approaches are transforming to accommodate digital platforms. Program StructureThis 12-month full-time course consists of two academic semesters followed by summer research projects. Through a balanced mix of theoretical instruction, hands-on practice, and collaboration with FinTech startups, students acquire a robust skillset. The curriculum includes practical sessions in the Business School's Bloomberg Trading Simulation Laboratory.During Semesters 1 & 2, students complete mandatory core courses, including some shared with our renowned MSc Finance program, plus at least one elective from Accounting & Finance, Management Science, or Computer Science offerings.Semester 1Students establish foundational knowledge of finance and analytical techniques while exploring big data applications in FinTech, alongside Python programming fundamentals.Semester 2The curriculum builds on core competencies, broadening analytical methodologies, advancing information systems knowledge, and deepening financial markets understanding.Summer ResearchStudents complete dual research projects in Finance and Management Science, submitting final work by September.Career ProspectsDesigned for maximum employability, this program prepares graduates for cutting-edge roles at the intersection of multiple disciplines.Industry data shows professionals combining programming, data analytics, and finance competencies command significantly higher entry-level salaries than single-discipline graduates.