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Today's society depends profoundly on financial markets. Banks and investment firms need professionals with expertise in portfolio management, utilizing mathematical models, statistical methods, and the analytical skills of mathematics graduates. Our combined degree program leverages the world-class knowledge of our distinguished mathematicians, statisticians, and actuaries, alongside the practical insights from Kent Business School faculty, equipping you for professional success. You'll thrive in our welcoming, vibrant school environment within the award-winning Sibson Building. To ease the transition from secondary education to university, first-year students participate in small group tutorials, practicing new mathematical concepts, asking questions, and collaborating on problem-solving. The curriculum blends pure and applied mathematics, statistics, and economics, establishing a strong base for advanced study. In your second year, core modules from both the School of Mathematics, Statistics and Actuarial Science and Kent Business School expand on first-year material. You'll also customize your degree through elective courses, continuing to specialize in your preferred subjects during the third year. This program develops specialized competencies aligned with contemporary accounting and finance industry demands, giving you a competitive edge in your career path.