This degree in financial mathematics is based on the type of mathematics and statistics used daily in the financial industry. You will study asset price modelling, risk-neutral pricing, time series analysis and actuarial mathematics. An optional work placement means you can test new skills and knowledge in a working environment.
Popular career destinations for our financial mathematics graduates include the financial, insurance, banking and investment sectors. The course is accredited by the Institute of Mathematics and its Applications, the UK's chartered professional body for mathematicians, so with further experience, you could achieve chartered mathematician status.
In the 2019 Guardian University Guide, our mathematics courses were ranked in the top 10 in the UK.
104 (view full requirements)
GN13 G BSc/FM
Concerned about grades?
We offer an extended degree in this subject that you can access with lower entry requirements.