If you study Actuarial Science BSc at XJTLU, you can study Mathematics with Finance BSc (Hons) at the University of Liverpool on the XJTLU 2+2 programme. View other pathway options or see all XJTLU 2+2 programmes.
If you study Actuarial Science BSc at XJTLU, you can study Mathematics with Finance BSc (Hons) at the University of Liverpool on the XJTLU 2+2 programme. View other pathway options or see all XJTLU 2+2 programmes.
This is one of our most popular degree programmes with great employment potential. Studying a range of topics covering the core areas of mathematics, this course will prepare you for a career in the financial sector.
This programme is designed to prepare you for a career in the banking sector, pension or investment funds, hedge funds, consultancy and auditing firms or government regulators. The course prepares students to be professionals who use mathematical models to analyse and solve financial problems under uncertainty. The programme will provide a useful perspective on how capital markets function in a modern economy.
We have accreditation from the Institute and Faculty of Actuaries, from the Institute of Mathematics and its Applications and from the Royal Statistical Society. Currently our students can receive exemptions for CM2, CS1 and CB1 of the professional actuarial exams conducted by the Institute and Faculty of Actuaries, the professional body for actuaries in the UK.
Discover what you'll learn, what you'll study, and how you'll be taught and assessed.
In your first year in Liverpool, you will study a range of topics covering important areas of mathematics. The main focus will be on basic financial mathematics, statistics, and probability. Choose two further modules, one from each semester.
On the 2+2 programme, you'll study your third and fourth years at the University of Liverpool. These will be year two and year three of the University of Liverpool's programme of study.
Programme details and modules listed are illustrative only and subject to change.
Programme details and modules listed are illustrative only and subject to change.
In the final year, you will cover some specialised work in financial mathematics. Subsequently, you will begin to study more advanced ideas in probability theory and statistics as well as stochastic modelling, econometrics and finance.
This programme is designed to prepare you for a career in the banking sector, pension or investment funds, hedge funds, consultancy and auditing firms or government regulators.
The course prepares students to be professionals who use mathematical models to analyse and solve financial problems under uncertainty. The programme will provide a useful perspective on how capital markets function in a modern economy.
Choose four optional modules: two from semester 1 and two from semester 2. At least two must be MATH modules.
On the 2+2 programme, you'll study your third and fourth years at the University of Liverpool. These will be year two and year three of the University of Liverpool's programme of study.
Programme details and modules listed are illustrative only and subject to change.
Programme details and modules listed are illustrative only and subject to change.