Ireland
The Master in Financial Mathematics at University College Dublin is a 1.0 year long program for international students taught in English.
University College Dublin (UCD) is Ireland’s largest research-intensive university, located on a spacious campus near Dublin, and it attracts a significant international student population. Founded in 1854, UCD offers a comprehensive range of undergraduate, masters and doctoral programs across disciplines including arts, sciences, business, law, engineering and medicine. Keywords such as study in Ireland, international students, Dublin university and research excellence reflect UCD’s global profile and academic strengths.
UCD is renowned for its research output, industry partnerships and international collaborations, supporting student mobility through Erasmus and global exchange networks. The university provides extensive facilities, research funding and career services that help students secure internships and graduate employment. Prospective international applicants should explore English-taught programs, scholarship opportunities and accommodation options on or near campus to plan a successful transition to study in Ireland.
For students seeking a research-led university with strong global connections and diverse academic offerings, UCD is a compelling choice. Use keywords such as University College Dublin, study in Dublin, international scholarships and research university when searching for program details, application deadlines and student support services to maximize your international study experience.
UCD’s Master in Financial Mathematics delivers a one‑year, English‑taught pathway for students with strong quantitative backgrounds seeking competitive roles in finance. The programme builds on a solid foundation in mathematics, statistics, and computational methods, integrating cutting‑edge topics such as machine learning, computational finance, and data programming. Ideal for those holding a bachelor’s degree in mathematics or related fields, it prepares you for high‑impact positions in risk management, quantitative analysis, and financial engineering.
The core curriculum covers Stochastic Calculus, Advanced Financial Models, Counterparty Credit Risk, and Financial Risk Measurement and Management, ensuring you grasp the mathematical underpinnings of modern finance. Optional modules let you tailor your expertise—choose from Computational Finance, Statistical Machine Learning, Optimization for Machine Learning, or Big Data Programming, among others. In the Summer Trimester, you can deepen your knowledge through a dissertation or gain practical experience via a work placement with partners such as AIB, FINCAD, and Grant Thornton Advisory.
Upon completion, you’ll be equipped to design sophisticated financial models, analyze complex risk scenarios, and implement data‑driven solutions across banking, asset management, and fintech firms. Tuition stands at €22,138.84, with a €55 application fee, offering a cost‑effective route to a high‑earning, globally relevant career. The programme’s blend of theory, practice, and industry exposure makes it a compelling choice for aspiring financial mathematicians.
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Next Start Date
Sep 2026
Deadline
July 01, 2026
Tuition
22,138 USD per year
22,138 USD in total
Application Fee
55 USD
Service Fee
0 USD
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