This flexible single-honours undergraduate master's degree programme is designed for those who are interested in learning about some of the recent applications of mathematics to the financial sector and pursuing a career in this area. It enables you to acquire a working knowledge of models and procedures and modern financial mathematics as applied in banks, broker companies and insurance companies as well as in the financial departments of national and international companies. You get good all-round mathematical knowledge together with the ability to experience more specialised results, methods and ideas. You get an education in sufficient depth in these areas to enable you to undertake postgraduate studies, conduct mathematical research or work as a specialist mathematician in industry, business or higher education. A core of basic mathematics provides you with the fundamental mathematical knowledge and skills, and the basis for more advanced work later on. The core material is covered in the first three semesters, up to the mid-point of your second year. You develop your capacity to learn and apply mathematical ideas, to understand the significance and power of mathematics, and to acquire a thorough knowledge and understanding of those mathematical topics that any employer would expect of a mathematics graduate. After your first three semesters, you choose your lecture courses from a widening range of options in order that you can pursue whichever areas of mathematics most interest you. You also undertake a substantial finance-related final year project.