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University College London (UCL) offers a Master of Science (MSc) in Financial Mathematics, designed for students who wish to apply mathematical techniques to solve complex problems in finance. This program combines rigorous mathematical theory with practical applications in areas such as financial modeling, risk management, and quantitative analysis, preparing students for careers in financial services, investment banking, and risk assessment.
The MSc in Financial Mathematics is a one-year, full-time program delivered on campus. Students will gain expertise in mathematical finance, stochastic processes, and computational methods, equipping them with the skills needed to navigate and analyze financial markets, and contribute to decision-making in high-stakes financial environments.
Program Title: Master of Science (MSc) in Financial Mathematics
Degree Type: Master of Science (MSc)
Duration: 1 year
Mode of Study: Full-time, On Campus
Application Deadline: 30th August 2026
Location: University College London (UCL), United Kingdom
Field of Study: Financial Mathematics
Language of Instruction: English
The MSc in Financial Mathematics at UCL spans one year of full-time study and offers a comprehensive curriculum that integrates core mathematical techniques with financial theory. Key modules cover topics such as stochastic processes, financial derivatives, quantitative risk management, and computational finance. The program also includes a final dissertation project, where students apply their knowledge to a practical financial problem, making use of the advanced mathematical tools and computational methods they have learned.
Graduates of the Financial Mathematics MSc program will be well-prepared for a variety of roles in the financial sector, including quantitative analyst, financial engineer, risk manager, or financial consultant. Graduates can pursue careers in investment banks, hedge funds, insurance companies, financial technology (fintech) firms, and other institutions requiring advanced mathematical modeling and financial analysis.
UCL’s MSc in Financial Mathematics combines cutting-edge mathematical techniques with practical applications in finance, offering students a competitive edge in the financial services industry. The program’s strong theoretical foundation, along with its focus on real-world applications, ensures graduates are equipped to excel in highly quantitative roles in the finance sector. UCL’s central location in London, one of the world’s leading financial hubs, also provides invaluable networking and career opportunities.
For further information, please contact the admissions office at:
Phone: +44 (0)20 7679 2000
Email: admissions@ucl.ac.uk
Address: University College London, Gower Street, London WC1E 6BT, United Kingdom