Financial Mathematics, BSc Hons
Greenwich Campus, United Kingdom
Overview
Financial Mathematics Program
Greenwich's Financial Mathematics program offers a strong foundation in mathematics and statistics, tailored for careers in the financial, banking, insurance, and investment sectors. It emphasizes asset price modelling, risk-neutral pricing, actuarial mathematics, and time series analysis, with optional placements to apply your skills in real-world settings. The program is accredited by the Institute of Mathematics and its Applications, paving the way toward chartered mathematician status with further experience. Graduates benefit from a blend of technical expertise and transferable skills, which are highly valued across industries.
Course Structure
- Year 1:
- Vectors and Matrices, Mathematical Coding, Calculus, Probability, Discrete Mathematics
- Year 2:
- Linear Algebra, Numerical Mathematics, Operational Research, Statistical Data Analysis
- Year 3:
- Options include Machine Learning, Actuarial Mathematics, Financial Instruments, and Optimization Techniques
Placements & Careers
The course offers an optional sandwich year (9-13 months) in industry, enhancing employability. Placements have included roles at NHS, GSK, Intel, and Lloyds Banking Group. Summer internships are also encouraged with support from Greenwich’s Employability and Careers Service. Career paths span data science, operational research, actuarial science, consulting, and more, making it ideal for students seeking dynamic roles in financial analytics or broader mathematical applications.
Workload & Support
Each module carries 15-30 credits, requiring substantial independent study. Students gain additional support through workshops, guest lectures, and access to study resources. Academic skills, including IT and English language support, are also provided to ensure success throughout the program. This degree prepares students to thrive in complex financial environments, equipped with both analytical tools and practical experience.
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