The Master of Applied Finance at The University of Newcastle is designed for ambitious graduates seeking to deepen their expertise in financial management and markets. In today's complex global economy, a sophisticated understanding of financial institutions, investment strategies, and risk management is paramount. This postgraduate degree equips you with essential analytical skills to interpret financial data, navigate international financial markets, and understand derivative assets. You will explore core finance principles and specialised industry applications, preparing you for impactful roles within the finance sector.
This Master of Applied Finance is studied full-time on campus over 18 months. Your learning journey will involve completing core courses such as Derivatives and Risk Management, Financial Institutions Management, and Investment and Portfolio Management, alongside elective subjects chosen from areas like Digital Innovations in Financial Markets or Corporate Governance. You will develop practical skills through case studies and project work, culminating in a comprehensive understanding of financial strategy. Upon graduation, you will be well-prepared for diverse career paths in banking, investment analysis, corporate finance, and financial consulting.