I graduated from Cornell FE in recent 3 years, and now I am working for a large buy side company as an analyst.
For academics:
Cornell ORIE is one of the top operations research department in the country. So, you have the opportunity to meet many famous professors. The courses are definitely high standards. Optimization Modeling by Jim Reneger is a very practical and interesting course. Statistics for Financial Engineering by Matteson is another practical course that you can see immediate connection with the real world. Moreover, you have Bob Jarrow for your Fixed Income class. The last semester at Wall Street is the best part of the program. Victoria is a great professor that will teach you everything you need to know about Bond math and MBS, which will directly help you with your interviews. One alert though, don't take any quantitative risk management courses, because both professors for this course are below the bar.
Programming language:
Python for quantitative trading, R for statistics and time series, Matlab for Optimization modeling, C++ for Monte Carlo Simulation.
Career service:
Cornell has a dedicated career service that is only for Cornell Financial Engineering students. Even if you have already graduated, Victoria will still forward you new jobs, and directly send you resume to those BB. Myself enjoyed this career service a lot. I received interview from US, London, Hong Kong, Singapore directly from alumn referral. The alum network is huge.
Project:
You will probably work 3 small projects that last for one semester, and 1 big final master project that is sponsored by a company on wall street. Some of my classmates managed to turn this project into a full time offer, and this happens every year.
Internship:
Internship is 100% every year. Victoria will help you eventually land an internship.