Master of Financial Mathematics

Nationally Recognised Higher Education

The Master of Financial Mathematics provides expertise in mathematical and computational techniques to assess and manage financial market risks. Students will learn about pricing financial contracts, including options, investment portfolio management, capital adequacy for financial institutions, firm valuation, and optimal capital and contract management. This course is tailored for those seeking advanced skills in navigating and strategizing within the complex financial marketplace, preparing graduates for roles in risk management and financial analysis.

Study mode On Campus
Duration 20 - 24 months
Estimated fee* $15,820 - $58,000 Support may be available
* Fees are indicative only and vary based on your circumstances and eligibility for government funding.

Entry requirements

Entry requirements for VET courses include both national standards and additional criteria set by individual Registered Training Organisations (RTOs).

It’s important to review these requirements for each course provider to ensure you meet all necessary prerequisites before applying.

  • There are no mandated entry requirements.
  • Additional entry requirements are set by individual course providers

Course fees

Course fees vary depending on the course provider.

Estimated Fee* $15,820 - $58,000 Fees are based on full-time study.
*Showing course fees for all providers. Some providers may not be available in your area.

Career opportunities

The Master of Financial Mathematics will prepare you for the following roles.

Find a course provider

Compare all providers for the Master of Financial Mathematics available in your area to find the right fit for you.

The University of Queensland
On Campus
24 Months (Full-time)
University of New South Wales
On Campus
20 Months (Full-time)