From classic corporate finance to FinTech disruption, gain valuable knowledge and skills that will have an immediate impact on your current role — and transform your future.
Accelerate your finance career by earning your MFin from Rotman. This innovative 20-month program features top-ranked faculty, cutting-edge curriculum and dynamic connections to Bay Street. The program is aimed for experienced working professionals, and is delivered on Wednesday evenings and alternating Saturdays over 20 months. Designed for finance professionals living and working in the Toronto area, the program offers a mix of theoretical and applied courses at the highest levels. 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.
The Master of Finance (MF) at the Rotman School of Management is the premier program of its kind in Canada. The Rotman MF provides the most in-depth theoretical and applied finance training currently available. Our graduates become more than experts: they are tomorrow's finance leaders.
Education for diverse backgrounds
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.
Reputation and location: The University of Toronto, located in the heart of downtown, steps away from Bay Street, is Canada's top-ranked university.
Real-time application: Influence your workplace by immediately practicing what you've learned. Hone your trading skills with the state-of-the-art BMO Financial Group Finance Research & Trading Lab.
Powerful network: Small classes allow you to build a powerful, lifelong network.
Globally renowned faculty: Engage with top faculty and the world's foremost experts like John Hull and Alan White.
Master your career: Our career services team are dedicated to providing you tailored support to help you reach your goals.
Courses include:
- Advanced Accounting
- Analysis of Fixed Income Markets
- Application of Derivative Products
- Applied Portfolio Management
- Financial Reporting and Financial Statement Analysis
- Forecasting Risks and Opportunities
- Foundations of Finance
- Innovations in Finance
- Investment Banking and Corporate Valuation
- Investments
- Macroeconomics for Finance Professionals
- Risk Management and Financial Institutions