Finance is based on mathematics, and foreign economists or financial experts are not bad at mathematics. Therefore, if you want to learn financial mathematics well, you must pass the exam. Many courses are math courses, and both modeling and data analysis need math foundation. Advanced mathematics, linear algebra, probability theory and mathematical statistics, econometrics, regression analysis and so on. However, there are differences in domestic school finance majors. Good schools have high requirements, while poor schools have low requirements.
Generally, it is advanced mathematics+linear algebra. Advanced mathematics is divided into several levels of abcd, generally B.
But I studied mathematical analysis+advanced algebra and analytic geometry for three semesters, and advanced mathematics only had two semesters.
The two books of advanced mathematics are only the contents of several chapters in mathematical analysis.