Financial Risk Management from the University of Toronto is a comprehensive program designed to equip recent graduates and early-career professionals with advanced skills in identifying, analyzing, and mitigating financial risks. The course emphasizes practical applications, quantitative methods, and strategic decision-making within the finance industry, preparing students for leadership roles in risk management and financial analysis.
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Financial Risk Management from the University of Toronto is a comprehensive program designed to equip recent graduates and early-career professionals with advanced skills in identifying, analyzing, and mitigating financial risks. The course emphasizes practical applications, quantitative methods, and strategic decision-making within the finance industry, preparing students for leadership roles in risk management and financial analysis.
Not Available in Not Available
400 Students
AI/ML, Systems, Theory, Human-Computer Interaction
Access to cutting-edge research labs and industry partnerships
100.0
Starting 2026-09-01
Apply before 2026-02-01
Sep-26
Courses include: Derivative Models for Risk Management Regulation of Financial Institutions Operational Risk Advanced Investments Innovations in Financial Technology
Applicants must hold an accredited bachelor's degree with a minimum final-year GPA of 3.0 (mid-B average or higher). Additional requirements include competitive GMAT or GRE scores, relevant work experience, professional references, a personal essay, and a video interview. Proficiency in English must be demonstrated through standardized testing or other accepted measures.
₹46,20,600/Year
Annual Fee
10 months
Total Duration
No Living costs available.
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Amount
1250 USD
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Not specified
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Amount
Various benefits
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Various benefits
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Amount
2000 USD
Deadline
15 Apr 2025
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300 EUR
Deadline
Anytime
No Eligibility Requirements Available
No Application Steps Available
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