Rotman School of Management, University of Toronto

Main Content

Processing. Please wait.

Quick Info

  • Previous education - Bachelor of Commerce, Smith School of Business, Queen’s University, Kingston, Canada

Why did you decide to study the Master of Financial Risk Management program?

I was looking for opportunities to step-change my knowledge and continuing building my expertise. Upon researching and talking with faculties and alumni, I became confident in the quality this program delivers. By introducing relevant courses and projects, the faculty here recognizes key changes in the industry, future-proofing the program, and ensuring that students stay competitive in this industry. Furthermore, its emphasis on applied learning experience is valuable for me to internalized the knowledge that I learn.

What were your top reasons for choosing Rotman?

It excites me to expand my industry connection through the Rotman alumni network, where I can meet and develop professional relationships with high-calibre business people and stay current in an everchanging financial landscape.

What are you looking forward to most in the program?

The Financial innovation and machine learning course.


The Master of Financial Risk Management is a full time program designed to prepare ambitious young professionals for careers in risk management and finance. 

© Rotman School of ManagementThe Rotman School of Management is accredited by the Association to Advance Collegiate Schools of Business (AASCB)