Graduate Certificate Programs in Finance

Oct 28, 2019

Learn about general program information for graduate certificate programs in finance, including time to completion, common course types, and admission requirements.

A financial professional needs to analyze markets, make decisions on investments, maintain accounting activities and processes, and also do the budgeting. A graduate certificate program in finance is one of the quickest ways to start a career in this field.

General Program Information for a Graduate Certificate in Finance

This type of graduate certificate can consist of anywhere from 12 to 21 credits and could take only nine months to complete. Some programs are completely online. Below are some of the most common course topics you can find in a graduate certificate in finance program.

Financial Markets and Institutions

An overview of the finance industry with reference to markets and financial institutions will be covered in this type of course. The overall structure and performance of both financial markets and institutions may be analyzed. The regulations and policies involving finance may also be discussed.

Investment Analysis and Portfolio Management

Students are taught to determine the value of securities when it comes to an investment. The policies and methods used in managing investment portfolios could be outlined. Evaluation of risk as well as analysis of stocks and bonds are also most-likely covered. Return-risk evaluation and diversification of portfolios could also be examined.

Corporate Finance

Corporate finance deals with the financial policies of a firm with respect to theoretical and empirical evidence or data. Management of the firms' capital is also taught to the students. Handling of mergers and acquisitions is usually highlighted, with reference to the issues and solutions that would be faced by a company. Overall, a student will learn to make important financial decisions when it comes to management of finance in a corporation.

Financial Risk Management

Managing risk is one of the fundamental aspects of financial management. Students will learn to use hedging to avoid unpredictable financial costs. They will also learn to use tools and data to predict and control financial risk. The process involving selection of best financial products and services with low risk and other risk mitigation processes will also be discussed in financial risk management.

Public Finance and Budgeting

Methodological tools and processes used to manage public finance and create budgets are usually taught to students in these types of courses. Analysis of cost benefits and cost effectiveness during the application of finance and budgeting theories can also be discussed. The theories studied in this type of course can help students prepare and present budgets.

Admission Requirements for a Graduate Certificate in Finance

The basic requirement for a graduate certificate in finance is a bachelor's degree, and this degree can be in any discipline. The better your GPA, the better the chances of admission. Most universities do not require the GRE, GMAT, SAT or other admission scores, but these can be of added advantage. Some colleges and universities consider work experience in related fields as a criteria for admission as well.

A graduate certificate in finance equips you to meet the demands required by a corporate firm in the real world. It also gives working professionals the flexibility they require to upgrade their career.

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