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

Quantitative Finance

About

The Master of Science (MSc) in Quantitative Finance at the University of Manchester is a one-year, full-time program that combines finance theory with advanced mathematical modeling techniques. The program covers key topics such as financial markets, portfolio management, risk analysis, and derivatives, preparing students to make data-driven financial decisions. Students will gain proficiency in financial modeling, computational techniques, and statistical analysis, which are essential for working in investment banks, hedge funds, or asset management firms.

In addition to academic study, the program offers practical learning opportunities, including hands-on use of financial software and simulations of real market conditions. Graduates will be well-equipped to pursue careers in quantitative research, risk management, or financial consulting, where they can apply their skills to optimize financial strategies and manage risk in complex markets.

Key information

Duration
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Tuition fee
$46,722.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Master of Science (MSc) in Quantitative Finance
  • Degree Type: Master of Science (MSc)
  • Duration: 1 year
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 1st July 2026
  • Location: University of Manchester, United Kingdom
  • Field of Study: Finance
  • Language of Instruction: English

Program Structure

Semester 1 – Foundations of Quantitative Finance

  • Introduction to Quantitative Finance
  • Mathematical Methods in Finance
  • Financial Markets and Instruments
  • Risk Management and Derivatives

Semester 2 – Advanced Quantitative Techniques and Applications

  • Advanced Financial Modeling
  • Statistical Methods for Financial Data
  • Asset Pricing and Portfolio Management
  • Capstone Project in Quantitative Finance

Career Opportunities

Graduates of this program are prepared for high-demand roles in the finance industry, particularly in financial analysis, risk management, and quantitative trading. Career opportunities include positions such as quantitative analysts, financial engineers, risk managers, and investment analysts. Graduates can work for investment banks, hedge funds, asset management firms, and financial consultancies, focusing on data-driven financial decision-making, risk assessment, and portfolio optimization.

Why Choose This Program

This program provides a comprehensive understanding of quantitative finance with a strong emphasis on mathematical modeling, statistical analysis, and real-world financial applications. The University offers a cutting-edge curriculum and access to industry-standard tools, ensuring students are well-prepared to meet the challenges of the rapidly evolving financial markets. With expert faculty and a practical focus, this program equips students with the skills needed to excel in high-level financial careers.

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