Duration
3 Years
Intake
January,May,September
Total Tuition Fees
79190
Faculties
Faculty of Science
Course Overview
This major combines actuarial science and finance, and aims to prepare graduates who are able to analyze financial risks and make data-driven investment decisions. It focuses on the use of mathematics, statistics, and financial models to understand markets, evaluate investments, and manage risk in insurance companies, banks, and financial institutions. It also helps to develop financial analysis and strategic planning skills in complex economic environments.
Study Advanced Mathematics and Financial Statistics
Financial and Investment Risk Analysis and Management
Understanding the financial and investment markets
Use actuarial and financial models for forecasting
Assessing the financial performance of companies and institutions
Insurance and Portfolio Management Study
English Requirements
5 in IELTS
Entry Requirements
1. Passport copy (first page).
2. High school certificate with transcript (translated).
3. Personal photo (white background).
4 . IELTS certificate, if available
Please submit the requirements in pdf format.
Career Opportunities
Actuary
Financial Analyst
Risk Analyst
Investment Analyst
Financial Advisor
Director of Risk Management
Financial Data Analyst
Insurance Consultant
Work in insurance companies, banks, investment companies, and government agencies

