

Master of Financial Risk Management
- Public University
Rotman School of Management
Master of Financial Risk Management at U of T Overview
University of Toronto is one of the finest universities in Canada. University of Toronto provides Master of Financial Risk Management at PG level. The duration of this course is 10 months. This course attracts students from all over the world.
To enrol in this course, international students must fulfil all the admission requirements. The admission requirement at the University of Toronto include standardized tests like IELTS and TOEFL.
The first year tuition fees University of Toronto for Master of Financial Risk Management is CAD 72,480. Moreover, the students must be ready for other expenses such as rent, hostel fees, food, books, supplies, utilities, etc. The average cost of living at University of Toronto is CAD 17,878.
Duration | 10 months Get Curriculum |
Tuition & Fees | ₹46.52 Lakh Get Fees details |
International Students Admission Website | Go to Website |
Official Career Service Website | Go to Website |
Course Level | PG Degree |
- Overview
- Fees
- Curriculum
- Entry Requirements
- Application Process
- Rankings
- Placements
- Highlights
- Scholarships
- Class Profile
Master of Financial Risk Management at U of T Fees
The first-year tuition fees that students are required to pay as per the University of Toronto Master of Financial Risk Management fee structure. The total cost of living at the university is estimated to be CAD 17,878 which includes the costs of housing, food, and other utilities. The total costs may vary based on the expenses of the student and the lifestyle being followed by them. Some additional fees may also be charged by the University of Toronto during the course duration. The complete fee breakdown of the Master of Financial Risk Management is around CAD 72,480 which is shown in the table below.
Fees components | Amount (for 1 year) |
---|---|
Tuition & fees | INR 46,52,491 |
Fees components | Amount (for 1 year) |
---|---|
Hostel & Meals | INR 11,47,589 |
Insurance | INR 48,528 |
Master of Financial Risk Management at U of T Curriculum
Applicants can click on the green button below to download and check out the University of Toronto Master of Financial Risk Management curriculum. The curriculum PDF includes detailed information about the course such as requirements, concurrent program options, tuition fees, deadlines, career opportunities, etc.
Download exam sample paper
Master of Financial Risk Management at U of T Entry Requirements
- No specific cutoff mentioned
- CGPA - 3/4
- Read less
- A recognized four-year undergraduate degree or equivalent:
- Minimum B average required across courses in the final year but most students admitted will have a considerably higher GPA. 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
- Evidence of a high level of proficiency (a GPA of at least 3.0) in quantitative subjects such as calculus, linear algebra, statistics and econometrics is required. In cases where evidence of quantitative ability is not obvious, applicants may be asked to supply a GMAT/GRE score or other supplementary evidence of quantitative ability
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Before the program begins in September, admitted students must have completed courses in the following areas as part of their undergraduate degree:
- Foundations of Finance
- Financial Accounting
- Financial Derivatives
- Investments
- If applicants have not completed courses in these areas as part of their undergraduate degree, they can obtain an offer of admission that is conditional on passing a qualifying exam for each prerequisite that is missing
- Applicants who have completed Level I, II or III of the CFA Study and Examination program may be exempt from prerequisite courses
- Indian equivalencies:-
- Minimum GPA: 1st Class/Div or 8.0/10; 7.5/10 from Indian Institutes of Technology
- A Minus GPA: 1st Class/Div or 9/10; 8.5/10 from Indian Institutes of Technology
- B Plus GPA: 1st Class/Div or 8.5/10; 8/10 from Indian Institutes of Technology
- Bachelors Equiv: Bachelor`s Degree, requiring a minimum of 4 years of study (e.g. BPharm, MBBS, BDS, BTech, BEng, BArch, etc.) or completion of BOTH a Bachelor`s (three-year) degree and a Master`s
- Masters Equiv: MPhil; MTech; MEng; MSc (Eng)
- A recognized four-year undergraduate degree or equivalent:

Calculate your score and check your eligibility at over 2000+ universities.
Out of 10
- N/A
- A three-year bachelor's degree is only accepted if it is followed by a master's degree

Calculate your score and check your eligibility at over 2000+ universities.
Out of 10
- No specific cutoff mentioned
- With minimum 22 in both writing and speaking
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- No specific cutoff mentioned
- No specific cutoff mentioned
- With no band below 6.5
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- No specific cutoff mentioned
- Prior to starting the program, all admitted students must complete a four-week Python for Business Course that will be offered by the Rotman School of Management
- The course is to ensure everyone in the program has a minimum base level ability with Python. It will consist of two tests and a guided capstone project. The course is a beginner to moderate level
- Demonstration of academic ability though high GMAT/GRE score is encouraged
- Yes
- Read lessMost of the university's admission decisions are based on interim marks, and so the majority of its offers are typically conditional on achieving acceptable final standing. Students are expected to maintain consistent academic standing for the duration of their high school (and post-secondary, if applicable) studies
Master of Financial Risk Management at U of T Application Process
- Official academic transcripts
- English-language proficiency
- Video Questions & Real-time Written Response
- All candidates will be asked to record a video response to two questions and complete a real-time writing exercise in order to demonstrate their professionalism and communication skills
Master of Financial Risk Management at U of T Rankings
Rank | Rank Publisher |
---|---|
#17 | |
#24 |
Master of Financial Risk Management at U of T Placements
Particulars | Statistics (2021) |
---|---|
Internship Available | Yes |
University of TorontoStudents Ratings & Reviews
- 37% students never faced discrimination in this university
Master of Financial Risk Management at U of T Highlights
- The Master of Financial Risk Management (MFRM) is designed to prepare students who excel at finance and quantitative analysis for careers in this in-demand sector
- A bridge between academic and professional life, this full-time, ten-month program allows students to fast-track into the finance industry-giving them a competitive edge over applicants with only an undergraduate degree
- Students will gain a better understanding of the different types of risk, the regulatory environment, and how different financial institutions manage uncertainty
- Students have the opportunity to gain real-world experience during the Risk Management Project which takes place midway through the program
Master of Financial Risk Management at U of T Scholarships
Class Profile
Average class profile for this course | |
---|---|
Bachelors GPA / Percentage | 3.6 |
GMAT Score Average | 717 |
Student Age | 23 years |
Percentage of International Students | 56% |
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Toronto ( Ontario)