Financial Risk Manager Certificate (FRM)

Financial Risk Manager Certificate (FRM)

The Financial Risk Manager certificate (FRM) designation is the most prestigious professional qualification globally in the field of financial risk management.

Awarded by the Global Association of Risk Management Professionals (GARP), this designation targets careers in risk management, including banking, market, and credit, and operational risk.

It is widely recognized by commercial and investment banks, insurance companies, asset management companies, regulatory bodies, and financial advisory companies. The FRM is designed for professionals in risk and finance working in banks, insurance companies, investment companies, and regulatory bodies, as well as graduates in finance, accounting, economics, mathematics, and statistics.

Topics covered:

  • Quantitative Analysis.
  • Financial Markets & Products.
  • Valuation & Risk Models.
  • Market Risk.
  • Credit Risk.
  • Operational Risk.
  • Liquidity & Treasury Risk.
  • Risk & Investment Management.
  • Current Issues in Financial Markets.

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