The Financial Mathematics BSc at Cardiff University is a three-year undergraduate course that offers students a strong foundation in mathematics, combined with insightful knowledge of financial practices. This mathematics-based degree encourages students to obtain logical, problem-solving skills and apply these in the context of the economics and finance sector.Course Content: The course covers an array of topics relating to financial theory and the broader economy. It comprises mathematics and its applications in finance and economics, providing students with a balanced understanding of methodical economic analysis and financial practices. Key themes include financial modelling, data analysis, investment and strategy, alongside the development of transferrable skills needed for a career in this industry.Key Modules: While specific modules may vary year by year, the course has core modules such as Probability Theory, Linear Algebra, Statistics with Applications, Financial Calculus, Accounting and Financial Management, Mathematical Modelling and more. Optional modules cover topics such as Macro/Microeconomics, Operational Research, Forecasting and Time Series, and more.Accreditations: The Financial Mathematics BSc programme is accredited by the Institute of Mathematics and its Applications, the UK's learned and professional society for mathematics, furthering your employability in this sector.Future Careers: Further to providing profound subject knowledge, Cardiff University offers a range of internships and placements in the UK and internationally. Graduates from the course are prepared for careers in areas like investment banking, financial analysis, risk management, actuarial science, and many other roles in financial industries.For more information on this course, please visit the official course page.