Financial Mathematics is the application of mathematical models to finance, usually to analyze markets and pricing. Financial Mathematics uses techniques from mathematics, statistics, business, finance, and economics. The Bachelor of Science in Financial Mathematics provides a solid foundation in Financial Mathematics, leading either to a career in the financial sector or to further training in advanced Financial Mathematics. Financial Mathematicians are in demand as professionals who develop solutions for complex financial issues and they have excellent career opportunities following graduation as well as excellent co-op work opportunities during their studies.
The Major in Financial Mathematics requires a total of 120 semester hours of credit, as described below: