Financial Services Industry Training Courses Online - CSC, IFIC, IFSE, RIBO, LLQP, WME, Mutual Funds, Continuing Education Courses

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Exam Preparation Courses Online

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Please note that the purchase of SeeWhy Financial Learning's exam preparation materials does not constitute enrolment in the actual licensing course(s). Instead, our materials are designed to assist you in understanding the content of such courses. If you have not already done so, you must register with the applicable course provider in order to obtain their course materials and write the actual exam. For the actual course provider’s website click here
       
LLQP Exam Preparation Online Study Tools and Study Notes Mutual Funds IFC IFIC CSI Exam Preparation Online Study Tools and Study Notes CSC Canadian Securities Exam Preparation Online Study Tools and Study Notes WME Wealth Management Exam Preparation Online Study Tools and Study Notes
Complimentary 30 minute Consultation for career guidance or exam preaparation course assistance for SeeWhy students Personal Financial Planner PFP  Exam Preparation Online Study Tools and Study Notes The New Entrants Course is for financial professionals who have been registered in one of the qualifying three countries within the past three years and are looking to be licensed in Canada: United States, United Kingdom, or Hong Kong. NEC focuses on investment topics unique to Canada with content coming from the Canadian Securities Course CSC and the Conduct and Practices Handbook Course CPH. Ontario Real Estate OREA Exam Preparation Online Study Tools and Study Notes

If You Don't Pass, You Don't Pay. Period!" *
Exam Preparation Courses Money Back Guarantee

We guarantee that you will pass the provincial exam for your chosen license designation, if you do the work, and use these on-line exam preparation products as part of your study program or we’ll refund the full purchase price of the study materials purchased from us.
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* Please note that the purchase of the mutual funds and securities exam preparation material does not constitute enrolment in the actual licensing course(s). Instead, the materials are designed to assist you in understanding the content of such courses. If you have not already done so, you must register with the applicable course provider in order to obtain their course materials and write the actual exam. For the actual course provider’s website click here.
 

"If You Don't Pass,
You Don't Pay. Period!"
*

It is no coincidence that the complete exam preparation packages cost about the same as the fee a student must pay to rewrite a regulatory exam. Most providers charge $150 for each subsequent attempt a student takes at an exam. A small investment today can help you succeed the first time, saving you time and money.

* Money Back Guarantee is on qualified exam preparation programs.  See the LLQP and Investment Exam Preparation pages for qualified programs.

Money Back Guarantee: There is no risk to you. If you do not pass your financial services exam using one of our qualified exam preparation programs or courses - If You Don't Pas, You Don't Pay. Period.  See our website for details. www.financialservicestrainingcourses.com

 
LLQP, LLQP exam, Life License Qualification Program, Life Insurance License Exam PreparationCSC, Canadian Securities course exam prearation, Mutal Funds

Canadian Securities Course® (CSC®) Exam Preparation and CSC® Study Notes  SeeWhy Financial Learning
CSC® -
The Canadian Securities Course®, offered by CSI Global Education, Inc., is the initial course required for becoming licensed to sell securities, like stocks and bonds, in Canada, as set out by IIROC. The CSC® can also be used to satisfy the educational requirement necessary to sell mutual funds in Canada, as set out by the MFDA - Mutual Fund Dealers Association. Our study materials are designed to help you pass the CSC® exams, and do not constitute enrolment in the actual Canadian Securities Course® itself.

IFIC® IFI® Exam Preparation and IFIC® IFI® Study Notes  SeeWhy Financial Learning
Successful completion of the "Mutual Funds" course, as offered by both CSI®/ICB® (Investment Funds in Canada® ~ IFC®) and IFSE® (Canadian Investment Funds Course® ~ CIFC®), satisfies the educational requirement necessary to sell mutual funds in Canada, as set out by the Mutual Fund Dealers Association. Our study materials are designed to help you pass the IFIC exam, and do not constitute enrolment in the actual Mutual Funds course itself.

Life License Qualification Program® (LLQP®) Exam Preparation and LLQP® Study Notes  SeeWhy Financial Learning
Successful completion of The Life License Qualification Program® (LLQP®) qualifies students to apply for their "Life License", which is required to sell life insurance products and related investments. Our study materials are designed to help you pass the Provincial LLQP® exam, and do not constitute enrolment in the actual Life License Qualification Program® itself.

Accident & Sickness (A&S) Component of LLQP®   SeeWhy Financial Learning
The A&S (Accident and Sickness) component of the LLQP program is for an individual who is looking a career in the life insurance industry as an agent selling accident and sickness (A&S) insurance. The A&S component of the LLQP is a course developed based on a comprehensive curriculum set by the provincial regulators. Students will acquire the knowledge and skills for a career in the life insurance industry as agents in the niche specialty of selling A&S (Accident and Sickness) products - including individual and group health and disability insurance.

Wealth Management Essentials® (WME®) Exam Preparation  SeeWhy Financial Learning
The Wealth Management Essentials® Course (WME®), as offered by CSI Global Education, Inc focuses on two critical elements of wealth management - Financial planning and Investment management. Successful completion of the WME® course fulfils IIROC's 30-month requirement for maintaining your securities license. It is also one very important step towards qualifying to write the Certified Financial Planner® (CFP®) exam. Our study materials are designed to help you pass the WME® exams, and do not constitute enrolment in the actual Wealth Management Essentials® Course itself.

Conduct and Practices Handbook® Exam (CPH®)  SeeWhy Financial Learning
The Conduct and Practices Handbook (CPH®) is a guide to understanding the rules, regulations, practices and ethics that will guide a career as an investment advisor or representative. Assists in meeting IIROC's proficiency requirements for licensing. Improves employability by gaining the education employers and regulators require. 

The trade-marks CSI, CSC, Canadian Securities Course, CPH, NEC, Wealth Management Essentials and WME are owned by CSI Global Education Inc. CSI Global Education Inc does not sponsor, license or necessarily recommend these notes and study material for its CSC and WME courses. FSTC Canada is an independent supplier of educational services. Exam preparation materials and study notes are not sponsored by any other industry organization.

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