Overview

A Master of Finance (MFin or MSc in Finance) program in Malaysia is a specialized postgraduate degree designed for individuals aiming for advanced careers in the finance industry. This program provides an in-depth understanding of financial theory, markets, and analytical tools, preparing graduates for complex financial decision-making in a globalized economy.

The curriculum typically covers various critical finance areas, including corporate finance, investment and portfolio management, financial markets and institutions, quantitative finance, financial risk management, and financial statement analysis. Many programs also integrate modern topics such as FinTech (Financial Technology), international finance, behavioral finance, and derivative securities analysis to ensure graduates are equipped with contemporary industry knowledge. Practical application is often a strong focus, involving case studies, financial modeling, and research projects. Some programs may also offer specializations in areas like Islamic finance or financial engineering.

Various financial institutions, multinational corporations, and government bodies in Malaysia highly seek after graduates of Master of Finance programs. Career prospects include roles such as Financial Analyst, Investment Banker, Portfolio Manager, Risk Manager, Financial Planner, Treasury Officer, and Chief Financial Officer (CFO). Malaysia's growing financial sector, including its robust Islamic finance industry, offers significant opportunities for these specialized professionals.

Degree:Master’s
University:Asia Pacific University of Technology & Innovation (APU)
Campus:Kuala Lumpur
Intakes:August, December.
URL:https://www.apu.edu.my/course/msc-of-finance
Program Detail
Duration:1½ years
Format:Full-time
Attendance:On Campus Learning
Study Gap:10 years and more
Fees & Funding

Full tuition fee: (USD9,025) Total for International

Course Structure/ What You’ll Learn:

This program comprises 10 coursework modules (including the Research Methodology module) and a Project.

Modules

Quantitative Methods for Decision Making
Securities, Futures, and Options
Financial Regulation and Regulatory Policy
Financial Markets and Institutions
Corporate Finance
Financial Statement Analysis
Fixed Income and Equity Investment
International Finance
Investment and Portfolio Management
Research Methodology
Project

Entry Requirement
Academic:Bachelor’s degree Bachelor’s degree in related fields with a minimum CGPA of 2.75, or its equivalent qualification as accepted by the Senate. Bachelor’s degrees in related fields with a minimum CGPA of 2.50 and not meeting a CGPA of 2.75 can be accepted
Language:
  • IELTS - 6.5
Key Information
Loan Availability:No
Important Dates:

The application deadlines are 25 August 2025 and 15 December 2025.

Contact Us

Shakil Education Group

Malaysia Counselor

Adviser, Counselor

+8801896203700

malaysia@shakiledu.com

Lift-3 & 5, House #63/C, Mir Taj Square, New Lazz Pharma Building, (Dhanmondi-32 Signal, West Panthapath Road), Dhaka-1205, Bangladesh

How To Apply

1

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