关于课程
This master's course develops actuarial and financial mathematics skills for analysing uncertainty in financial markets and decision-making. You’ll build capability in finance and investment science, risk analysis and credibility theory, with options such as mathematical financial modelling, applied statistics and numerical methods. Graduates can apply these skills across insurance, banking, pensions, healthcare and broader risk assessment as a Master’s in actuarial science.
职业成果
Graduates typically pursue roles across insurance companies, investment and superannuation funds, banks, stockbrokers and government agencies, applying quantitative modelling to risk, pricing and financial decision-making. The course is accredited by the Actuaries Institute, supporting progression toward professional actuarial pathways. Career directions commonly include actuarial analyst, risk analyst, investment/finance analyst and quantitative roles in financial services and public sector as a Master’s in actuarial science.

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