University of Sheffield Campus
Bachelor of Science
On Campus
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University of Sheffield
Sheffield
United Kingdom

Financial Mathematics

About

The Bachelor of Science in Financial Mathematics at the University of Sheffield is a three-year, full-time, on-campus program that integrates mathematics with the study of financial markets, investments, and risk management. Students will study core mathematical topics, including probability theory, statistics, and calculus, and apply them to financial modeling, portfolio optimization, and financial derivatives.

The program is designed for students who want to combine quantitative analysis with financial decision-making, making it ideal for careers in investment banking, actuarial science, risk management, and financial analysis. Graduates will have the technical expertise to analyze and model financial data, making them highly competitive in the financial services industry.

Key information

Duration
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Tuition fee
$35,736.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Financial Mathematics
  • Degree Type: Bachelor of Science
  • Duration: 3 years
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 30 June 2026
  • Location: University of Sheffield, United Kingdom
  • Field of Study: Financial Mathematics
  • Language of Instruction: English

Program Structure

Year 1 – Foundations of Financial Mathematics

  • Introduction to Financial Mathematics
  • Calculus and Linear Algebra
  • Principles of Economics and Finance
  • Probability and Statistics for Finance
  • Mathematical Methods for Economics

Year 2 – Intermediate Financial Mathematics

  • Financial Markets and Instruments
  • Time Series Analysis
  • Risk Management and Derivatives
  • Stochastic Processes and Modeling
  • Actuarial Mathematics

Year 3 – Advanced Financial Mathematics

  • Advanced Risk and Portfolio Management
  • Computational Finance
  • Fixed Income and Financial Engineering
  • Financial Econometrics
  • Independent Research Project / Dissertation

Career Opportunities

Graduates of the Financial Mathematics program will be well-prepared for careers in finance, risk management, actuarial science, and quantitative analysis. Career opportunities include roles such as financial analyst, risk manager, actuary, quantitative analyst (quant), investment banker, and portfolio manager. The strong mathematical and financial foundation ensures graduates are highly competitive in industries like banking, insurance, investment management, and financial consulting.

Why Choose This Program

The Bachelor of Science in Financial Mathematics provides a deep understanding of both mathematics and finance, combining quantitative analysis with financial theory. The program emphasizes mathematical modeling, financial markets, and risk management, preparing graduates to navigate the complex world of financial decision-making. With a strong foundation in both applied mathematics and economics, students are equipped to solve real-world financial problems and contribute to financial strategy and planning. The final year project allows students to specialize in specific areas of financial mathematics, ensuring they graduate with advanced knowledge and industry-relevant skills.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 114 222 1234
Email: admissions@sheffield.ac.uk
Address: University of Sheffield, Western Bank, Sheffield, S10 2TN, United Kingdom