Master of Financial Risk Management
所属信息
基本信息
项目时长
10 months项目学分
5.5学费估算
$70,370 CAD国际生比例
56%申请截止日期
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秋季
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Round1
11/6
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其他
申请信息
托福/GRE Code
8696/0853GMAT Code
BTD-KS-65申请费
$195 CADGPA要求
3.00
TOEFL要求
100.00 S:22.00
W:22.00
IELTS要求
7.00 L:6.50 R:6.50 S:6.50
W:6.50
成绩单寄送要求
网申上传
推荐信要求
2 If possible, we encourage you to have at least one reference from a professor who taught you in a quantitative course.
文书要求
Written Essay
Essay Question (Please limit your answer to under 3000 characters)
Describe your career goals. What role will the Rotman MFRM program play in helping you achieve those goals?
Additional Information (Optional)
Is there anything that you think the Admissions Committee should know that you feel has not been covered by the rest of this application? If you feel your credentials and your essay answers above present you fairly, you are not obligated to answer this question.
Essay Question (Please limit your answer to under 3000 characters)
Describe your career goals. What role will the Rotman MFRM program play in helping you achieve those goals?
Additional Information (Optional)
Is there anything that you think the Admissions Committee should know that you feel has not been covered by the rest of this application? If you feel your credentials and your essay answers above present you fairly, you are not obligated to answer this question.
Prerequisite
Before the program begins in September, admitted students must have completed courses in the following areas as part of their undergraduate degree, with a minimum B grade in each course:
Foundations of Finance
Financial Accounting
Financial Derivatives
Investments
Foundations of Finance
Financial Accounting
Financial Derivatives
Investments
申请材料
Video Questions & Real-time Written Response
Admissions interview
Two academic references
On-line application (includes written essay)
Academic transcripts
Resume
GMAT or GRE score
CFA optional If you have completed Level I, II or III of the CFA Study and Examination program, you may be exempt from our prerequisite courses.
Minimum mid-B average (equivalent to a 3.0 from the University of Toronto) is required across courses in the final year. It is expected that the GPA of those admitted into the program will be higher than the minimum. Your GPA will be calculated by your first undergraduate degree.
Admissions interview
Two academic references
On-line application (includes written essay)
Academic transcripts
Resume
GMAT or GRE score
CFA optional If you have completed Level I, II or III of the CFA Study and Examination program, you may be exempt from our prerequisite courses.
Minimum mid-B average (equivalent to a 3.0 from the University of Toronto) is required across courses in the final year. It is expected that the GPA of those admitted into the program will be higher than the minimum. Your GPA will be calculated by your first undergraduate degree.
适宜学生
Business, commerce, economics, mathematics, engineering or actuarial science degrees will be preferred, but other 4-year undergraduate degrees will be considered if there is evidence of strong quantitative skills.
特点
多伦多大学的金融风险管理硕士(MFRM)课程将培养学生能够快速发展经济所需的优势,以及领先组织所寻找的优势。为期十个月的全日制强化课程是风险管理与金融的交叉学科,在专业技术与沟通技巧之间取得了理想的平衡,有助于学生开启职业生涯。该课程让学生深入了解不同类型的风险、监管环境以及不同机构如何管理金融的不确定性。学生将学习风险的衡量方法,了解该行业目前使用的系统和模型。
The Master of Financial Risk Management (MFRM) at the University of Toronto will enable students to develop the strengths that a fast-moving economy demands and leading organizations are looking for. This intensive, ten-month full-time program, at the intersection of risk management and finance, provides an ideal balance of technical expertise and communications skills that helps to launch careers. The program provides students with a deep understanding of the different types of risk, the regulatory environment and how different institutions manage financial uncertainty. Students consider the ways risk is measured, looking at systems and models currently used within the sector. The MFRM program immerses students in the business impact of risk, enabling them to identify and communicate relevant information effectively. The program is taught by leading risk management academics and practitioners. All students participate in a risk management internship with industry partners, where they gain real-world experience working on a company specific risk project along side risk management professionals on a challenge set by their company. Our campus is located in Toronto, the financial capital of Canada, and a leading financial centre in North America. Toronto is consistently rated as one of the most livable and culturally diverse cities in the world.
课程设置介绍:
Master of Financial Risk Management (MFRM) students take 10 courses over two terms and also complete the Rotman Risk Management Project and Self Development Lab between terms.
Fall and Spring Terms
- RSM6311 – Rotman Risk Management Project
- RSM6601 – Self Development Lab
**Fall Term**
- RSM6303 – Regulation of Financial Institutions
- RSM6304 – Operational Risk
- RSM6305 – Credit Risk
- RSM6310 – Derivative Models for Risk Management
- RSM6313 – Innovations in Financial Technology
**Spring Term**
- RSM6301 – Topics in Financial Risk
- RSM6302 – Financial Markets, Risk and Institutions
- RSM6306 – Probabilistic Modelling for Risk-Informed Decisions
- RSM6307 – Macroeconomics for Finance Professionals
- RSM6308 – Advanced Investments
The Master of Financial Risk Management (MFRM) at the University of Toronto will enable students to develop the strengths that a fast-moving economy demands and leading organizations are looking for. This intensive, ten-month full-time program, at the intersection of risk management and finance, provides an ideal balance of technical expertise and communications skills that helps to launch careers. The program provides students with a deep understanding of the different types of risk, the regulatory environment and how different institutions manage financial uncertainty. Students consider the ways risk is measured, looking at systems and models currently used within the sector. The MFRM program immerses students in the business impact of risk, enabling them to identify and communicate relevant information effectively. The program is taught by leading risk management academics and practitioners. All students participate in a risk management internship with industry partners, where they gain real-world experience working on a company specific risk project along side risk management professionals on a challenge set by their company. Our campus is located in Toronto, the financial capital of Canada, and a leading financial centre in North America. Toronto is consistently rated as one of the most livable and culturally diverse cities in the world.
课程设置介绍:
Master of Financial Risk Management (MFRM) students take 10 courses over two terms and also complete the Rotman Risk Management Project and Self Development Lab between terms.
Fall and Spring Terms
- RSM6311 – Rotman Risk Management Project
- RSM6601 – Self Development Lab
**Fall Term**
- RSM6303 – Regulation of Financial Institutions
- RSM6304 – Operational Risk
- RSM6305 – Credit Risk
- RSM6310 – Derivative Models for Risk Management
- RSM6313 – Innovations in Financial Technology
**Spring Term**
- RSM6301 – Topics in Financial Risk
- RSM6302 – Financial Markets, Risk and Institutions
- RSM6306 – Probabilistic Modelling for Risk-Informed Decisions
- RSM6307 – Macroeconomics for Finance Professionals
- RSM6308 – Advanced Investments