The Master of Mathematics and Quantitative Finance provides the opportunity to acquire the detailed specialized knowledge and the professional competency required to work as a quantitative finance analyst in the modern finance industry, performing at the cutting edge of the discipline. This program enables participants without, or with limited quantitative background to undertake an internationally recognized quantitative finance program through a fully integrated postgraduate program comprising mathematics, statistics and computer programming, before advancing to focused skills and knowledge in financial economics, stochastic analysis, financial mathematics, numerical and computational methods. Course Duration: 2 years full time or 4 years part time.