A Master of Science degree in Financial Mathematics prepares students to work effectively in a wide spectrum of financial service industries such as investment firms, commercial banks, brokerage houses, consulting firms, and other related corporations; helps students to synthesize a highly technical branch of mathematics and measure theoretic probability with practical applications that affect everybody?s life; emphasizes problem-solving skills that dramatically increase the graduate value to an employer; and prepares students to pursue Ph.D. programs in Financial Mathematics or related fields.