Building Risk Professionals
As part of our mission to build the capacity of risk professionals in our sector, our Members gain access to GRI’s educational programs and networking. We have several programs to improve the skills of risk managers, from new university grads to C-Suite executives to Board members. Our educational programs build the talent necessary to sustain and grow Canada’s competitive advantage in risk management for the financial services industry.
"GRI believes in engaging directly with our members in order to assist them in building the knowledge and strengthen their risk management team."
GRI Educational Framework
The Roadmap identifies seven core ERM processes and the associated interdependencies required to achieve the formation of an effective, holistic and integrated approach to ERM in a financial services context. GRI believes that the systematic application of the principles and practices embedded in this Roadmap can materially improve the overall decision quality and experience outcomes that arise in relation to the wide range of risk/return trade-offs inherent in a financial institution’s business strategy and operations.
GRI Education Programs
Board Risk Oversight and Insight Program
GRI’s BROIP is exclusive for board members and senior stakeholders in the financial sector. Participants will hear from academics, practitioners and other directors – share points of view on leading practices and lessons learned. We are providing attendees with novel research relevant to real-world problems and outstanding risk education.
Emerging Leaders Program
The Emerging Leaders Program is targeted to new leaders who are interested in advancing their knowledge and effectiveness in the management of risk. This program has been developed for financial services professionals from business lines and control functions who would benefit from a fuller understanding of concepts and practices in the management of risk.
Masters Financial Risk Management
University of Toronto’s Rotman School of Management on their new Masters Financial Risk Management program.
The Master of Financial Risk Management is an intensive full-time, 8-month program designed to prepare you for in-demand careers in risk management and trading.
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 your academic and professional life, the full-time, 8-month program allows you to fast track into the finance industry, giving you a competitive edge over applicants with just an undergraduate degree. Turn risk into reward: consider the MFRM.