Rotman School of Management

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Program

Get the Competitive Edge for Your Finance Career

The latest offering from the Rotman School, the Master of Financial Risk Management focuses entirely on risk management and regulation, while building the general management skills that firms require of their best employees. After just eight months of intensive study, you will be well positioned to take advantage of the full range of career opportunities in this exciting field

Date

Curriculum

The Master of Financial Risk Management is a full-time program that runs from September to April.

Curriculum

Course Descriptions

The Master of Financial Risk Management curriculum will allow you to master the complex issues involved in risk management and trading. All courses are developed with practitioner input.

Faculty

Faculty

The finance faculty at Rotman is regularly ranked in the top ten in the world by the Financial Times. Risk management and trading are core research strengths at the school.

Industry Connections

Industry Connections

As a Rotman student, you'll benefit from the strong ties between the school and the finance industry. Through speaking events with industry executives, an integrated project on a real-world business challenge, and exposure to faculty who span both business and academia, you’ll learn from some of the top leaders in the industry.

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Resources

As Canada’s leading business school, Rotman offers you a range of opportunities to hone your skills in risk management. Our world-class resources – including our renowned trading lab – allow you to apply the knowledge you gain in the program to the toughest finance challenges.

Your Path to the MFRMExplore, Connect, Apply

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Connect with our Recruitment & Admissions Team
Katarina Vitek, Assistant Director
Miriam Irvine, Recruitment Officer

start your application
Date

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Start your application today or update your online profile.

MFRM Admission Events