

The Mathematical Finance and Business Administration Dual Degree Master of Science program at the University of North Carolina combines advanced quantitative finance training with a solid foundation in business management principles. The curriculum equips students with the analytical tools, financial insight and strategic thinking needed to address complex business challenges in a global environment. Learners strengthen quantitative analysis, financial modeling, strategic management and problem solving skills, preparing them to make informed decisions at the intersection of finance and business administration.
Throughout the program, students engage with faculty who integrate real world business scenarios with rigorous quantitative methodologies. The coursework emphasizes applied financial analysis, economic reasoning, business strategy and leadership development. Students participate in research projects, case studies and practical assignments that encourage critical thinking, risk assessment and effective decision making. This approach fosters analytical proficiency, research competence, financial strategy, and business insight, ensuring graduates are well prepared to assume impactful roles in both finance and corporate management.
Year 1 Foundations in Quantitative Finance and Business
• Linear Algebra and Matrix Theory
• Advanced Calculus and Real Analysis
• Introduction to Business Administration
• Quantitative Methods and Programming
Year 2 Applied Financial Analysis and Business Strategy
• Financial Economics and Risk Management
• Managerial Accounting and Financial Reporting
• Marketing and Organizational Behavior
• Research Project in Finance and Business
Year 3 Integration and Leadership Development
• Portfolio Management and Derivatives
• Strategic Management and Business Policy
• Business Analytics and Decision Making
• Capstone Project and Thesis
Graduates of this dual degree program are prepared for roles that demand both strong quantitative finance skills and broad business management expertise. Many pursue careers in investment management, corporate finance, risk analysis and business consulting, contributing to organizations where analytical insight and strategic planning are essential. Others work in multinational corporations, banks, financial advisory firms or research institutions, where they evaluate market trends, optimize investment portfolios and support organizational decision making. The programs emphasis on integrating quantitative modeling with business strategy equips graduates to navigate complex corporate environments, lead multidisciplinary teams and implement solutions that align financial performance with broader business objectives.
This program is ideal for students who want to combine advanced mathematical finance capabilities with comprehensive business administration knowledge to prepare for leadership positions in finance, corporate strategy and management. Its curriculum emphasizes the integration of quantitative analysis, financial modeling, strategic thinking and applied business research, providing learners with the tools to address both analytical and managerial challenges. Faculty mentorship guides students in developing problem solving, decision making and leadership skills that are essential for professional growth in competitive business environments. Through applied projects, case studies, and a thesis, learners strengthen quantitative expertise, strategic business insight, analytical decision making and research informed leadership, allowing them to tackle complex challenges in finance and management with confidence. With a strong foundation in both disciplines, graduates are equipped to succeed in high level corporate, financial or entrepreneurial roles while contributing meaningfully to the evolving business and finance landscape.
Phone: +1 (919) 966-3621
Email: unchelp@admissions.unc.edu
Address: Jackson Hall, 174 Country Club Road, Chapel Hill, NC 27514, USA