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Financial Management Syllabus Template — Asynchronous Online, Finance Majors

AACSB-aligned. Bloom's taxonomy mapped. A complete, customizable syllabus template you can adapt in an afternoon.

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What's Inside the Template

Complete 16-week topic sequence with session-by-session breakdown
Learning outcomes mapped to Bloom's taxonomy and AACSB standards
Assessment calendar with suggested exam and assignment dates
Exam integrity strategy appropriate to your delivery format
Grading rubric framework with customizable weighting
Recommended textbooks and supplementary resources

Who This Template Is For

Instructors building an asynchronous online finance course at the 3000-level
Finance department faculty who need a proven async course structure
Adjunct instructors looking for a complete course they can adapt quickly
Instructors preparing students for upper-division courses in an async format

Designed for Asynchronous Online Delivery

Designed for courses with no live meetings. Includes weekly engagement checkpoints, asynchronous discussion prompts, video-based content delivery, and assessment integrity approaches that work without proctoring.

What makes this variant different

Structured pacing prevents students from falling behind. Scaffolds toward upper-division readiness in a fully asynchronous format.

16-Week Topic Schedule

Whether your institution calls it Financial Management, Basic Finance, Business Finance, Corporate Finance, Corporate Financial Management, or any of the 19+ common names for this course — this schedule covers the standard curriculum.

Week 1

Issues in Financial Management

Role of finance, financial goals, forms of business organization, the agency problem

Week 2

Financial Statements

Balance sheet, income statement, cash flow statement, common sizing

Week 3

Financial Ratio Analysis

Debt ratios, income ratios, market value ratios, DuPont analysis

Week 4

Growth

External financing needed, stages of growth, sustainable growth rate

Week 5

Time Value of Money

Present value, future value, compounding, discounting, annuities, perpetuities

Week 6

Time Value of Money — Applications

Uneven cash flows, loan amortization, DCF applications

Week 7

Midterm Review & Exam

Comprehensive review of weeks 1-6

Week 8

Capital Investment Decisions

Capital budgeting, NPV, payback period, internal rate of return, secondary tools

Week 9

Capital Investment Decisions — Applications

Incremental cash flows, depreciation, working capital, project analysis

Week 10

Bond Valuation

Bond characteristics, bond fundamentals, yield to maturity, interest rate risk

Week 11

Stock Valuation

Valuing stocks, dividend discount model, stock markets, market efficiency

Week 12

Risk, Return & Diversification

Historical returns, expected return, standard deviation, systematic vs. unsystematic risk, diversification

Week 13

Beta, SML & CAPM

Beta, security market line, capital asset pricing model, portfolio theory

Week 14

Cost of Capital

Weighted average cost of capital, cost of equity, cost of debt, applying WACC

Week 15

Review & Integration

Connecting capital budgeting, valuation, risk, and cost of capital in a unified framework

Week 16

Final Review & Exam

Comprehensive review of all course material

Sample Learning Objectives — Bloom's Taxonomy Aligned

RememberDefine key financial terms including NPV, IRR, WACC, CAPM, and beta
UnderstandExplain the time value of money and its role in financial decision-making
ApplyCalculate the present and future value of single and multiple cash flows
ApplyValue bonds and stocks using appropriate pricing models
AnalyzeAssess a firm's financial health using ratio analysis and DuPont framework
AnalyzeEvaluate the risk-return tradeoff of different investment opportunities using beta and CAPM
EvaluateCompare capital budgeting proposals using NPV, IRR, and payback criteria
EvaluateDetermine a firm's weighted average cost of capital and its components
CreateConstruct a pro forma cash flow analysis for a proposed capital investment
CreateBuild a financial model that integrates valuation, risk, and cost of capital to support an investment decision

AACSB Alignment Guide

AACSB-accredited business schools are required to demonstrate Assurance of Learning (AoL) — evidence that students achieve the learning goals established by the program. For finance courses, this typically means mapping individual course learning objectives to broader program-level goals.

This template includes learning objectives pre-mapped to the most common AACSB learning goal categories: analytical thinking, ethical reasoning, application of knowledge, and communication. Each objective is tagged with its Bloom's taxonomy level, making it straightforward to demonstrate that your course assessments align with your institution's AoL requirements.

The 2020 AACSB standards emphasize competency-based learning and continuous improvement. This template supports both by providing measurable, action-verb objectives that can be directly assessed through the included assessment calendar.

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Common Questions

Start With a Proven Structure

Don't build your syllabus from scratch. Download a complete, AACSB-aligned template and customize it for your course.

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