Produce financial and market intelligence by querying data repositories and generating periodic reports. Devise methods for identifying data patterns and trends in available information sources.
The main objective of the program is to provide graduate level technical education to students who want to work in the new and growing finance industry. This includes investment banks and corporations, financial management and consulting companies, insurance companies and firms that invest in financial markets.
The Financial Mathematics curriculum offers a mixture of interdisciplinary courses in Mathematics, Computer Science, Business, International Finance and Economics, the purpose being to prepare students for work in the modern world of finance. Their solid mathematical background will place our graduates in an advantageous position in the job market. Graduates may later choose to specialize in areas such as Finance, Risk Analysis, Statistics, Computer Programming for Finance, Actuarial Studies, Real Estate Assessment and Investment Analysis.