This financial mathematics degree, jointly delivered by the University of Sheffield's School of Mathematics and Statistics, Department of Economics, and Management School, equips students with essential numerical skills and specialized knowledge for finance careers. Over three immersive years, you will master the tools, principles, and practices of the finance industry, alongside fundamental mathematics for banking, insurance, and accountancy. The first year builds a strong foundation in core maths and finance topics, enabling informed choices between economics or finance pathways. In the second year, advance into subjects like microeconomics, macroeconomics, econometrics, and corporate finance, with project-based options to apply skills in real-world contexts. By the third year, select from various modules to align with your career goals.Reasons to study include access to world-leading research (96% rated excellent per REF 2021), real-world problem-solving, customizable pathways, a supportive community with student societies, and teaching from a Triple Crown accredited Management School.
A local representative of The University of Sheffield in Singapore is available online to assist you with enquiries about this course.