BSc (Hons) Mathematics for Finance

Bay Campus

 

INTAKE: September

Program Overview

The BSc (Hons) Mathematics for Finance program at Swansea University provides students with a strong foundation in mathematical principles and techniques, tailored specifically for applications in the finance industry. This program equips students with the mathematical skills and analytical tools necessary to analyze financial markets, manage financial risks, and develop quantitative models for investment and financial decision-making.

Curriculum: The curriculum of the BSc (Hons) Mathematics for Finance program is designed to cover a range of mathematical topics relevant to finance, including calculus, linear algebra, probability theory, statistics, differential equations, and financial mathematics. Students also study modules in financial theory, investment analysis, risk management, derivative securities, and computational finance. The program emphasizes both theoretical understanding and practical applications, preparing students to tackle complex financial problems using mathematical modeling and quantitative techniques.

Research Focus: Swansea University's Mathematics for Finance program maintains a strong research focus, with faculty members conducting research in areas such as mathematical finance, financial econometrics, quantitative risk management, and computational finance. Students have the opportunity to participate in research projects, work on independent research studies, and collaborate with faculty members on research publications. This research-oriented approach allows students to develop critical thinking skills, problem-solving abilities, and a deeper understanding of advanced mathematical concepts as applied to finance.

Industry Engagement: The university places a strong emphasis on industry engagement, providing students with opportunities to gain practical experience and interact with professionals in the finance industry. Through industry placements, internships, and collaborative projects with financial institutions, students have the opportunity to apply their mathematical and analytical skills in real-world financial settings. This industry engagement helps students develop transferable skills, gain industry-specific knowledge, and build professional networks within the finance industry.

Global Perspective: The BSc (Hons) Mathematics for Finance program emphasizes a global perspective, preparing students to analyze financial markets and solve problems in a globalized and interconnected world. Students learn about international financial markets, exchange rates, and financial instruments, gaining exposure to different regulatory environments and market dynamics. Additionally, the university offers opportunities for students to study abroad, participate in international finance competitions, and collaborate with researchers from around the world, allowing them to gain insights into global financial trends and practices.

Pollster Education

Location

Bay Campus

Pollster Education

Score

IELTS 6

Pollster Education

Tuition Fee

£ 18400

Undergraduate Entry Requirements

Academic Qualifications: Applicants should have successfully completed their secondary education with a minimum overall score of 70% or equivalent in their respective country's grading system.

English language proficiency: 

  • IELTS: A minimum overall score of 6.0 or 6.5 with no individual component below 5.5.
  • PTE Academic: A minimum overall score of 56 with no individual score below 56.
  • Some programs may have specific subject prerequisites or additional requirements.

Students must provide:

  • academic marksheets & transcripts
  • letters of recommendation
  • a personal statement - SOP
  • passport
  • other supporting documents as required by the university.

It is important to note that entry requirements may vary across different programs and courses. Additionally, meeting the minimum entry requirements does not guarantee admission, as the university considers factors such as the number of available places and competition for certain courses.

Swansea University offers a variety of scholarships to support students in their academic journey. These scholarships aim to support students in pursuing their academic goals and experiencing the vibrant learning environment at Swansea University. 

International Excellence Scholarships: Swansea University offers International Excellence Scholarships to outstanding international students who demonstrate exceptional academic achievement. These scholarships are available for both undergraduate and postgraduate programs. The value of the scholarship varies, but it can cover a significant portion of the tuition fees.

Eira Francis Davies Scholarship: The Eira Francis Davies Scholarship is specifically designed for female students from developing countries who wish to pursue a full-time undergraduate or postgraduate course at Swansea University. This scholarship aims to support female students in their academic journey and empower them to make a positive impact in their home countries.

Vice-Chancellor's Scholarships: The Vice-Chancellor's Scholarships are prestigious awards offered to international students who have demonstrated academic excellence and leadership potential. These scholarships provide financial support towards tuition fees and are available for both undergraduate and postgraduate programs.

Santander Scholarships: Swansea University has a partnership with Santander Bank to provide scholarships for international students. These scholarships are awarded based on academic merit and cover a portion of the tuition fees.

Sports Scholarships: Swansea University recognizes the achievements of talented athletes and offers Sports Scholarships to support them in balancing their academic and sporting commitments. These scholarships provide financial assistance, as well as access to training facilities and additional support services.

Graduates of Swansea University's BSc (Hons) Mathematics for Finance program possess a strong mathematical background tailored specifically for applications in the finance industry. 

Quantitative Analyst (Quant): Graduates can work as quantitative analysts, also known as quants, in investment banks, hedge funds, and financial institutions. They use mathematical models and statistical techniques to develop trading strategies, price financial instruments, and manage financial risk. Quants may specialize in areas such as algorithmic trading, derivatives pricing, or risk modeling, using mathematical models to analyze market data and make informed investment decisions.

Risk Analyst/Manager: Graduates can pursue careers as risk analysts or risk managers in financial institutions, insurance companies, or regulatory agencies. They use mathematical models and statistical methods to assess and manage financial risks, such as market risk, credit risk, and operational risk. Risk analysts may develop risk management strategies, perform stress testing, and ensure compliance with regulatory requirements to protect the financial stability and reputation of their organizations.

Financial Engineer: Graduates can work as financial engineers, designing and implementing quantitative models and software tools for financial institutions and investment firms. They use mathematical techniques and computational methods to develop pricing models, risk management tools, and trading algorithms for complex financial products and derivatives. Financial engineers may collaborate with traders, analysts, and software developers to create innovative solutions for pricing and risk management in financial markets.

Actuary: Graduates can pursue careers as actuaries in insurance companies, pension funds, and consulting firms. They use mathematical models and statistical methods to analyze and quantify financial risks, such as mortality risk, longevity risk, and insurance claims risk. Actuaries may design insurance products, set premium rates, and assess the financial health and solvency of insurance companies, helping them manage and mitigate risk to ensure their long-term financial stability.

Investment Analyst/Portfolio Manager: Graduates can work as investment analysts or portfolio managers for asset management firms, pension funds, or private equity firms. They use mathematical models and financial analysis techniques to evaluate investment opportunities, assess asset performance, and construct diversified investment portfolios. Investment analysts may conduct market research, perform valuation analysis, and make investment recommendations to maximize returns and minimize risk for their clients or investors.

Financial Data Analyst: Graduates can pursue careers as financial data analysts, collecting, analyzing, and interpreting financial data to provide insights and support decision-making in financial institutions. They may use statistical software, data visualization tools, and programming languages to analyze market trends, assess investment performance, and identify opportunities for optimization or risk mitigation. Financial data analysts may work in areas such as market research, investment analysis, or financial reporting, helping organizations make informed financial decisions based on data-driven insights.

Financial Consultant: Graduates can work as financial consultants, providing expertise and advice to clients on a range of financial matters, such as investment strategy, risk management, and financial planning. They may work for consulting firms, financial advisory firms, or banks, helping individuals or organizations make strategic financial decisions, optimize their financial resources, and achieve their long-term financial goals.


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