🇨🇿 Bc.

The bachelor in financial mathematics knows basic theoretical fields of mathematics (algebra, calculus, probability and statistics, optimization) and applications of mathematical methods to insurance and finance. The graduate has mastered computational aspects of these methods and has obtained practical skills necessary for orientation in financial environment and government administration.

The programme provides modern theoretical and practical knowledge allowing the graduate to study in a follow-up master program or hold an analytical or managerial position, mainly in banks and insurance companies.