Science Master programs

The Master of Financial Mathematics offers advanced training in the core areas of stochastic, financial and insurance modelling, statistical analysis and computational methodology, as well as in a wide range of elective topics from economics, econometrics, finance, mathematics and probability.

For guidelines on managing your Maser of Financial Mathematics, visit the Handbook for the year you commenced the course.

2017 Handbook entry

Who to contact

For questions relating to your enrolment in the Master of Financial Mathematics, please get in touch:

General enquiries
+61 3 9905 4604  
sci-enquiries@monash.edu

19 Rainforest Walk
Clayton, Victoria, 3800
Australia

Program Manager
Gregoire Loeper
gregoire.loeper@monash.edu

Career prospects

Linking theory with hands-on experience in the financial sector offered by the Masters of Financial Mathematics means that our graduates will be highly sought after by the banking, insurance and other related industries. Graduates are likely to enter specialist careers in research departments within banks, insurance and consultancy firms or in derivatives valuation and portfolio management within investment houses.

About the School of Mathematics

The School of Mathematics sits within the world-leading Faculty of Science at Monash University. This vibrant, dynamic and successful School is undergoing a period of growth with the appointment of several new senior academic staff including Professor Gregoire Loeper, Course Director for the new Master of Financial Mathematics. Professor Loeper brings to Monash a crucial combination of exceptional academic achievement and deep industry insight including nine years experience in the financial industry in Paris and London.