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FINANCIAL RISK MANAGER DESIGNATION

FRM Classes

 

COURSE OBJECTIVE

The Financial Risk Manager (FRM®) certification is the internationally recognized and professional designation for financial risk managers and risk management profile . The FRM® is a globally recognized certificate in Financial Risk Management conferred by GARP® . The certification is awarded to candidates passing the FRM® two level examination conducted by GARP®. FRM® is meant for professionals wishing to take up a career in the field of Risk Management in any investment institution across the world. The risk manager’s profile involves assessing, estimating and measuring, controlling and managing the risks of investments.

 

 

Benefits of FRM Certification

 

• Objectively benchmarks your knowledge of the major strategic disciplines of financial risk management:

 

  • Market Risk
  • Credit Risk
  • Operational Risk
  • Risk Management in Investment Management

 

• Allows you to join an elite group of Financial Risk Managers across the globe with the only risk management certification recognized worldwide

 

• Boosts your credibility and respect from employers, peers, and clients and maximizes your personal and professional opportunities within the world of finance

 

• Derivative Analysis in real market scenario

 

Curriculum

 

Candidates must pass an examination for the following courses to achieve FRM Certification:

 

Examination Requirements

 

  • Each exam will be 4 hours in length, with a 120 minute break in between (if taking both exams on the same day).
  • Part I exam contains 100 multiple-choice questions. Part II contains 80 multiple-choice questions. The exact number of questions is subject to minimal change.
  • Each exam will require an admission ticket, available after registering for the exam through Global Association of Risk Professionals (GARP).
  • Exam enrollment fees will apply.
  • Contact GARP at 201-719-7210 to register for an exam, or visit: http://www.garp.com/.

 

Certificate Requirements

 

In order to be certified as a Financial Risk Manager (FRM®) and be able to use the FRM acronym after your name, the following is required:

  • A passing score on both FRM Examinations.
  • Active membership in the Global Association of Risk Professionals.
  • A minimum of two years’ experience in the area of financial risk management or another related field including, but not limited to, trading, portfolio management, academic or industry research, economics, auditing, risk consulting, and/or risk technology. If you are unsure if your work experience meets the qualification.

 

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