Courses Overview

ib

Investments & Banking

IFSE’s investments-related courses are suitable for individuals who work – or want to work – in the financial services industry, or for those seeking to improve their knowledge of investments.

Read More About Investment Courses >Read More About Banking Courses >

Canadian Investment Funds Course (CIFC)Branch Managers’ Examination Course (BM)90 Day Training CourseCanadian Investment Funds Operations Course (CIFOC)Labour Sponsored Investment Funds Course (LSIF)Officers’, Partners’, and Directors’ Course (OPD)Mutual Fund Dealer Compliance Course (MFDC)Canadian Deposits Self-Study Course (CDC)Ethics and Professional Conduct Course (EPC)Investing in Alternative Mutual Funds and Hedge Funds

shutterstock_229613542

Insurance

IFSE’s insurance-related courses are suitable for individuals who work – or want to work – in the financial services industry, or for those seeking to improve their knowledge of insurance.

Read More About Insurance Courses >

Life License Qualification Program (LLQP)Accident and Sickness Course

shutterstock_121893292

Exempt Market

IFSE’s exempt market-related courses are suitable for individuals who work – or want to work – in the financial services industry, or for those seeking to improve their knowledge of exempt market products.

Read More About Exempt Market Courses >

Exempt Market Proficiency Course (EMP)Officers’, Partners’, and Directors’ Course (OPD)Ethics for Exempt Market Dealer RepresentativesAccredited Investor and Offering Memorandum Exemption Case Study

shutterstock_130282661

Continuing Education/ Professional Development

A commitment to professional development helps financial advisors provide the best possible advice to their clients. Continuing education can help you stay current on financial products, investment strategies and industry regulations.  IFSE offers several courses for financial advisors to satisfy their CE requirements.

Read More About Continuing Education Courses >

Ethics and Standard of ConductNavigating the Regulatory EnvironmentUnderstanding Your Business Conduct ResponsibilitiesGetting Qualified and RegisteredKnowing Your Suitability ObligationsAvoiding Prohibited PracticesLeverage Suitability Case StudyDealing with New Clients and SeniorsConflict of Interest Case StudyExchange-Traded Funds CourseTax-Efficient InvestingEthics for Insurance ProfessionalsEthics and Professional Practice (Civil Code)Ethics and Professional Practice (Common Law)Segregated FundsLeveraging for Investments

Course Pricing

To view a complete list of our course prices click here >

Find your course
MY OBJECTIVE IS TO:







I AM AT THIS STAGE IN MY CAREER: