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

Mathematics with Finance

About

The Bachelor of Science (BSc) in Mathematics with Finance at the University of Manchester is a three-year, full-time program designed to provide students with a solid foundation in mathematics, while also specializing in the application of mathematical techniques to financial markets and decision-making. The program covers core topics such as calculus, linear algebra, statistics, and probability, as well as finance-related topics such as financial modeling, investment analysis, and risk management.

Graduates will be well-prepared for careers in the finance industry, including roles in investment banking, risk management, financial analysis, and actuarial science. They will have the analytical and quantitative skills needed to excel in the fast-paced and data-driven world of finance.

Key information

Duration
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Tuition fee
$48,457.00/year
Start dates & application deadlines
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More details
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Key Facts

Program Title: Mathematics with Finance
Degree Type: Bachelor of Science
Duration: 3 Years
Mode of Study: Full-time, On Campus
Application Deadline: 14th January 2026
Location: University of Manchester, United Kingdom
Field of Study: Mathematics
Language of Instruction: English

Program Structure

Year 1 – Foundations in Mathematics and Finance

  • Introduction to Financial Mathematics and Modelling
  • Calculus and Linear Algebra
  • Principles of Microeconomics and Financial Markets
  • Introduction to Statistics and Probability for Finance

Year 2 – Intermediate Mathematics and Financial Analysis

  • Corporate Finance and Investment Analysis
  • Time Series Analysis and Risk Management
  • Mathematical Methods for Financial Modelling
  • Financial Derivatives and Asset Pricing

Year 3 – Advanced Mathematics and Finance

  • Advanced Financial Mathematics and Portfolio Theory
  • Stochastic Processes and Financial Engineering
  • Quantitative Risk Management and Financial Forecasting
  • Final Year Project in Mathematics with Finance

Career Opportunities

Graduates of the Mathematics with Finance program are well-prepared for careers in financial analysis, investment banking, and risk management. With expertise in both mathematical modelling and financial theory, students can pursue roles in major financial institutions, insurance companies, and consultancy firms. Career paths may include financial analyst, risk manager, quantitative analyst, or portfolio manager. Graduates can also explore roles in fintech, actuarial science, and financial engineering.

Why Choose This Program

This program combines mathematical expertise with financial theory to equip students with the skills needed for the highly competitive finance sector. The University of Manchester offers cutting-edge resources, expert faculty, and strong links to the finance industry, ensuring that students are prepared for real-world challenges. The three-year full-time program provides a solid foundation in both mathematics and finance, preparing graduates for a variety of careers in finance and quantitative analysis.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 (0)161 275 5252
Email: admissions@manchester.ac.uk
Address: University of Manchester, Oxford Road, Manchester M13 9PL, United Kingdom