Financial Mathematics is a 1-year Master’s programme that prepares specialists for financial sector, banking and insurance industries in quantitative methods of risk assessment and hedging, providing knowledge and skills in two major areas - financial engineering and insurance mathematics.
Special emphasis on applied mathematical models and quantitative methods;
Knowledge, practical skills and competence needed to succeed in careers at banks, insurance companies, consulting, financial utilities and financial supervisory authorities;
The teaching staff consists of professors highly qualified in the field of Financial Mathematics, who have also done extensive research and have international experience. Some of the lectures in the programme will be delivered by visiting international staff;
Graduates are very competitive on national and international job market as analysts, actuaries and risk engineers.
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