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The Bachelor of Science in Mathematics with Finance at the University of Southampton offers students a solid foundation in mathematical theory and its application to the world of finance. This three-year, full-time program covers core areas of mathematics such as calculus, statistics, and algebra, while also introducing financial concepts such as investment analysis, risk management, and financial modeling. Students will learn to apply mathematical techniques to solve real-world financial problems, preparing them for a career in finance or actuarial science.
On-campus learning includes mathematical problem-solving, computational techniques, and financial theory. Graduates are well-prepared for careers in banking, investment management, actuarial consulting, and financial analysis, where they can leverage their quantitative skills to drive financial decision-making and innovation in the finance sector.
Year 1 – Foundations in Mathematics and Finance
• Calculus, Linear Algebra, and Probability
• Introduction to Financial Mathematics and Economics
• Academic Skills and Research Methods
• Elective Modules in Statistics or Computing
Year 2 – Intermediate Mathematical and Financial Studies
• Advanced Calculus, Differential Equations, and Mathematical Modelling
• Financial Markets, Investment, and Risk Management
• Statistical Analysis and Data Interpretation
• Elective Modules in Actuarial Science, Econometrics, or Computational Finance
Year 3 – Advanced Mathematics and Capstone Project
• Mathematical Finance and Derivatives
• Dissertation / Independent Research Project
• Seminar on Contemporary Issues in Mathematics and Finance
• Elective Modules in Quantitative Methods, Financial Engineering, or Applied Statistics
Graduates of this program are prepared for careers in finance, banking, investment, actuarial science, data analysis, and risk management. The curriculum develops skills in quantitative analysis, financial modelling, problem-solving, and critical thinking, enabling roles such as financial analyst, risk analyst, investment consultant, actuary, and quantitative researcher. Graduates are also well-positioned for postgraduate study in mathematics, finance, data science, or actuarial studies, providing opportunities to specialize in advanced quantitative finance, research, or applied mathematics. The program equips students to apply mathematical techniques to complex financial problems and make informed decisions in analytical roles.
This Bachelor of Science at the University of Southampton combines rigorous mathematical training with financial theory and practice, offering students both analytical and applied skills. Students develop expertise in quantitative methods, financial analysis, and problem-solving, while gaining insight into financial markets, investment strategies, and risk management. The program emphasizes research-led teaching, practical applications, and independent project work, preparing graduates to meet the demands of careers that require both mathematical proficiency and financial acumen. With access to expert faculty, computational resources, and industry-focused modules, students acquire the confidence and competence to excel in finance, analytics, and quantitative research roles.
For further information, please contact the admissions office at:
Phone: +44 (0)23 8059 5000
Email: admissions@soton.ac.uk
Address: University of Southampton, Highfield, Southampton, SO17 1BJ, United Kingdom