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BSc Mathematics for Finance and Management
About this course
Mathematics for finance and management brings together the quantitative methods that underpin modern financial analysis with the strategic thinking required to manage complex organisations. Finance today is deeply mathematical, with professionals using statistical models, optimisation techniques, probability theory, and data analysis to value assets, manage risk, forecast revenue, and support investment decisions. Combining these methods with management thinking produces graduates who can translate rigorous quantitative work into practical business insight. This three-year, full-time programme at the University of Portsmouth equips you with the mathematical and statistical tools used by finance professionals, while also developing your understanding of how organisations are managed and how financial decisions are made at an enterprise level. You will study areas such as mathematical modelling, statistical analysis, financial mathematics, and the quantitative techniques used in investment and risk management. The programme includes a placement year, giving you valuable professional experience in a financial or business environment, as well as a year abroad that broadens your perspective and gives you the opportunity to study in a different academic and cultural context. Graduates of this programme are well prepared for roles in financial services, investment banking, asset management, corporate finance, actuarial work, and data analytics. The combination of mathematical rigour and management awareness is also valued in consultancy, business analysis, and operations research. Many graduates move into professional qualification routes in accountancy or financial analysis, building on the analytical foundations the degree provides. Further postgraduate study in finance, financial mathematics, or management is a natural extension for those who wish to specialise or pursue careers in research.
Syllabus & Modules
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