Graduates majoring in financial mathematics can engage in risk management, financial engineering, quantitative investment and financial analysis in financial institutions such as banks, securities, insurance, funds and futures. With the continuous development of financial market and the increasing financial risks, the demand for financial mathematics specialty is also increasing. Graduates majoring in financial mathematics can also engage in related research and teaching in scientific research institutes, universities and other units. The employment prospect of financial mathematics major is very broad and there is a lot of room for development.
With the wide application of artificial intelligence and big data technology, the demand for financial mathematics professionals is increasing.