The BSc Financial Mathematics combines advanced mathematical methods with economics and finance to prepare students for quantitative careers in the financial sector. Students study calculus, probability, statistics, financial modelling, actuarial mathematics, investment analysis, and computational techniques while developing strong analytical and programming skills.
The programme emphasizes mathematical problem-solving and the application of quantitative models to real-world financial challenges. Practical projects strengthen students’ ability to evaluate financial risks and support strategic decision-making. Graduates pursue careers in banking, investment management, actuarial science, financial analytics, and risk management.