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3 Finance BSc Degree Programs in Canada


University of Prince Edward Island
BSc in Financial Math
- Charlottetown, Canada
BSc
Full time
4 years
On-Campus
English
Financial Mathematics is the application of mathematical models to finance, usually to analyze markets and pricing. Financial Mathematics uses techniques from mathematics, statistics, business, finance, and economics. The Bachelor of Science in Financial Mathematics provides a solid foundation in Financial Mathematics, leading either to a career in the financial sector or to further training in advanced Financial Mathematics.


Concordia University - Montreal
BSc in Actuarial Finance
- Montreal, Canada
BSc
On-Campus
English
Model the future, solve problems involving risk, and make financial decisions that will affect the futures of corporations, communities and investors. This combined program offers you a direct path to an actuarial career with a financial sector specialization. In the program, you do all the Actuarial Mathematics coursework: studying statistics, probability, and learning mathematical models to solve problems involving uncertainty.
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Ryerson University
Bachelor of Science in Financial Mathematics (Hons)
- Podium, Canada
BSc
On-Campus
English
This program will prepare you to drive economic progress by leveraging cash flow and creating wealth. You’ll acquire in-depth knowledge of economics, financial instruments and statistical techniques, and establish a foundation in modern mathematics, financial accounting, managerial finance and computer science. Participate in case studies, an optional paid co-op, industry-relevant research projects be prepared to make an immediate impact in the financial sector.
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Learn more about Finance BSc degree programs in Canada
A Bachelor’s degree in Finance in Canada opens the door to a comprehensive understanding of financial management, investment strategies, and market analysis. The combination of theoretical knowledge and practical application uniquely prepares students for the financial sector.
You’ll explore quantitative methods, corporate finance, and risk management, developing essential skills like financial modeling, investment analysis, and portfolio management. Through work on real-world projects, students gain valuable experience that enhances their analytical capabilities and prepares them for diverse career paths, such as financial analyst, investment banker, or financial consultant.
The environment encourages independence and curiosity, fostering a collaborative spirit among students as they tackle case studies and participate in simulations. Graduates emerge with globally transferable skills, enhancing their employability in an interconnected world. The hands-on learning approach ensures that you not only acquire theoretical understanding but also the practical expertise that employers value.