- Previous education – Bachelor in Economics and Statistics, University of British Columbia, Canada
Why did you decide to study the Master of Financial Risk Management program?
It’s an new and exciting program! Moreover, there is a lot of demand in the financial industry for professionals with knowledge about risk management.
What are your top reasons for choosing Rotman?
One of my main reasons for choosing Rotman as my graduate school is that it’s located in Toronto, which is Canada’s financial center and the second largest financial hub in North America. This feature has made it easy for Rotman to collaborate with industry professionals to enrich the graduate program for students.
What are you looking forward to most in the program?
I am most excited about the project, which will allow me to apply the knowledge that we were taught during the first term to real issues faced in the financial industry.
The Master of Financial Risk Management is a full time program designed to prepare ambitious young professionals for careers in risk management and finance.