Master of Finance
所属信息
基本信息
项目时长
20 months申请截止日期
-
秋季
-
Round1
2024/11/27
-
其他
申请信息
托福/GRE Code
GRE:0853, TOEFL:8696GMAT Code
BTD-KS-41GPA要求
3.00
TOEFL要求
100.00
IELTS要求
7.00
成绩单寄送要求
网申上传
推荐信要求
2
工作经验要求
Minimum of two years of work experience in finance or a finance-related field strongly recommended.
申请材料
GRE/GMAT required
特点
罗特曼管理学院(Rotman School of Management)的金融硕士(MFin)课程是为期20个月的创新课程,配备一流的师资、前沿的课程以及保持与行业的动态联系。从经典的公司财务到金融科技的颠覆,学生将获得宝贵的知识和技能,对他们当前的工作产生立竿见影的影响。本专业提供的课程符合金融专业人士的需求
The Master of Finance (MFin) program at Rotman School of Management is an innovative 20-month program features top-ranked faculty, cutting-edge curriculum and dynamic connections to Bay Street. From classic corporate finance to fin tech disruption, students will gain valuable knowledge and skills that will have an immediate impact on their current role. This program offers coursework which fit the needs of the finance professional. The curriculum considers how technology is changing the industry, preparing students to tackle these challenges effectively today and in the future. Classes take place Wednesday evenings and alternating Saturdays (full days).
课程设置介绍
The Master of Finance (MF) program provides the most in-depth theoretical and applied finance training currently available. Aimed at experienced working professionals, the program is delivered on Wednesday evenings and alternating Saturdays over 20 months. This enables students to advance their career without leaving work, and be able to apply the knowledge learned in the classroom immediately in the workplace. Students come from a variety of backgrounds such as financial risk, portfolio management, corporate finance, equity research, accounting, sales and trading, insurance, pensions, and legal settings.
MFin Course Calendar
Year 1
Fall Term:
RSM4322 – Application of Derivatives Products (Part 1)
RSM4310 – Foundations of Finance
RSM4216 – Financial Reporting and Financial Statement Analysis
RSM4317 – Analysis of Fixed Income Securities
Spring Term:
RSM4322 – Application of Derivatives Products (Part 2)
RSM4220 – Advanced Accounting
RSM4319 – Forecasting Risks and Opportunities
Summer Term:
RSM4113 – Macro Economics for Finance Professionals
RSM4315 – Investment Banking & Valuation
Year 2
Fall Term:
RSM4318 – Applied Portfolio Management (Part 1)
RSM4323 – Investments
RSM4324 – Innovations in Finance
Spring Term:
RSM4318 – Applied Portfolio Management (Part 2) / Capstone
RSM4314 – Risk Management and Financial Institutions
The Master of Finance (MFin) program at Rotman School of Management is an innovative 20-month program features top-ranked faculty, cutting-edge curriculum and dynamic connections to Bay Street. From classic corporate finance to fin tech disruption, students will gain valuable knowledge and skills that will have an immediate impact on their current role. This program offers coursework which fit the needs of the finance professional. The curriculum considers how technology is changing the industry, preparing students to tackle these challenges effectively today and in the future. Classes take place Wednesday evenings and alternating Saturdays (full days).
课程设置介绍
The Master of Finance (MF) program provides the most in-depth theoretical and applied finance training currently available. Aimed at experienced working professionals, the program is delivered on Wednesday evenings and alternating Saturdays over 20 months. This enables students to advance their career without leaving work, and be able to apply the knowledge learned in the classroom immediately in the workplace. Students come from a variety of backgrounds such as financial risk, portfolio management, corporate finance, equity research, accounting, sales and trading, insurance, pensions, and legal settings.
MFin Course Calendar
Year 1
Fall Term:
RSM4322 – Application of Derivatives Products (Part 1)
RSM4310 – Foundations of Finance
RSM4216 – Financial Reporting and Financial Statement Analysis
RSM4317 – Analysis of Fixed Income Securities
Spring Term:
RSM4322 – Application of Derivatives Products (Part 2)
RSM4220 – Advanced Accounting
RSM4319 – Forecasting Risks and Opportunities
Summer Term:
RSM4113 – Macro Economics for Finance Professionals
RSM4315 – Investment Banking & Valuation
Year 2
Fall Term:
RSM4318 – Applied Portfolio Management (Part 1)
RSM4323 – Investments
RSM4324 – Innovations in Finance
Spring Term:
RSM4318 – Applied Portfolio Management (Part 2) / Capstone
RSM4314 – Risk Management and Financial Institutions