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The Master of Financial Risk Management Advisory Board seeks to raise the profile of Rotman’s MFRM program, facilitate networking and employment opportunities for students, and highlight the multiple ways in which the school is engaged in the risk management field.
President & CEO, Global Risk Institute
Partner, Financial Risk Management, KPMG
VP, Market Risk, Scotiabank
Chief Risk Officer, OPTrust
VP and Head, Model Development, Production & Analytics, BMO Financial Group
Senior Research Advisor, Financial Markets Department, Bank of Canada
Senior Director, Financial Risk, Office of the Superintendent of Financial Institutions, Canada
Director, Fixed Income Technology, Axon
SEVP & CRO, CIBC
Chief Risk Officer, Wealth & Personal Banking, HSBC Bank Canada
Senior Manager, Financial Risk Management, TMX Group
Senior Vice-President, Capital Markets & Treasury Risk Management, National Bank of Canada
Chief Operating Officer, Paradigm Financial FHC
Managing Director, Head of Investment Risk, CPPIB
Director, ALM Balance Sheet Analytics, Group Treasury, Scotiabank
Vice President, RESL & Collections, TD Bank
Head of Enterprise Investment Risk, Global Wealth & Asset Management, Manulife
Senior VP, Enterprise Risk Management, Canada Life
Managing Director & Chief Risk Officer, Citigroup Canada
Senior Director, Credit Risk Modelling, Farm Credit Canada
Executive Vice-President & Chief Risk Office, iA Financial Group
Partner, Deloitte
Director, Asset Securitization, TD Securities
Managing Director, RBC Capital Markets
Vice Dean, Undergraduate & Specialized Programs Professor of Accounting
Associate Professor of Finance, Academic Director MFRM
Professor of Finance, Maple Financial Chair in Derivatives and Risk Management
Adjunct Professor, Finance
Rotman's Master of Financial Risk Management
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