- Previous education - Math Application in Economics and Finance, University of Toronto, Canada
Why did you decide to study the Master of Financial Risk Management program?
Through comparison with some general Master of Finance programs, the MFRM stands out as a well-tailored program dedicated to preparing future risk management professionals. The curriculum not only covers different aspects of risk, but also includes trending topics and tools which are being extensively applied in the financial industry. The 9-week onsite project will enable me to leverage my knowledge and skills to tackle real business issues, as well as to network with and learn from professionals in this field. This program will bring in the best professors and competitive, brilliant peers to create a perfect learning environment.
What were your top reasons for choosing Rotman?
- World-renowned faculty
- Outstanding campus resources and career support
- Prime location adjacent to financial district
- Great reputation within industry and extensive alumni network
What are you looking forward to most in the program?
I am currently most looking forward to the project with CPPIB (Canada Pension Plan Investment Board).
The Master of Financial Risk Management is a full time program designed to prepare ambitious young professionals for careers in risk management and finance.