From the Desks of Professors John Hull & Alan White: Valuation Adjustments 1

World-renowned Professor John Hull, Maple Financial Professor of Derivatives and Risk Management at the Rotman School of Management, University of Toronto is also Co-Director of our Master of Financial Risk Management program. He will be teaching in the MFRM program in the fall. Here is a portion of a blog post that Professor Hull and Professor Alan […]

Connect with Industry. Impact Your Risk Management Career.

Wondering whether the Master of Financial Risk Management (MFRM) at the Rotman School of Management is the right program for you? Watch this video to learn compelling reasons why this program will give you a competitive advantage in the job market. With so many schools and so many different specializations, there are certain characteristics that […]

Are You Job-Market Ready? Become an Expert in Financial Risk Management

There is an increasing need for financial risk management professionals due to globalization and the transition of traditional markets into knowledge economies. Richard Nesbitt, Chief Executive Officer of the Global Risk Institute for Financial Services, believes that this intensifies the potential risks that organizations face. As companies become public, expand internationally, and deepen their processes […]

3 ways to develop industry connections in financial risk management

There are 3 ways that the Master of Financial Risk Management (MFRM) program at Rotman will help you develop industry connections to jumpstart your career. We made sure you’d get many opportunities to connect with industry when we designed this program by mobilizing our powerful Financial Services Advisory Board (FSAB). The FSAB includes faculty members […]