Financial Risk Manager (FRM) Program, Globally Recognized professional qualification for Banking, Finance and Risk Management Professionals conducted by Global Association of Risk Professionals (GARP , USA).
About Financial Risk Manager (FRM) Program:
Globally Recognized professional qualification for Banking, Finance and Risk Management Professionals conducted by Global Association of Risk Professionals (GARP , USA).
FRM program concentrates in a niche area of Financial products and Associated risk Management.
FRM community is growing with 26000 FRM holders across world representing nearly every Banking Institution , Financial Services Institution , consulting Firms and Government Regulator.
FRM Program Roadmap
Eligibility: There are no Educational or professional Prerequisites for appearing in FRM Exams. A 12th Class passed/ Graduate /CA / MBA / BE /B.Tech pursuing candidate can register for the Program.
Pass Two Part exams : Part 1 and Part II, both can be taken twice a year ( May or November)
Demonstrate two year relevant work Experience taken before, after or during the Exams.
Become Certified Financial Risk Manager.
Why FRM ?
Understand Complex Financial Products.
Best Suitable Curriculum for Banking and Financial Institutions.
Benchmarks the candidates knowledge about Financial Risk Management disciplines of Market risk , credit Risk , Operational Risk and risk Management in Investment Management.
Ability to network with world’s leading Financial risk Managers and expand the professional opportunities within the world of Finance.
FRM Certified Professionals are more desirable to Executive recruiters and Hiring Managers for Risk Management / Core Banking Profiles.
FRM is a Good Career Option for:
Working Professionals in Financial Institutions like Banks ,Mutual Funds , Stocks & commodity Brokers , Insurance , Wealth Management and hedge Funds.
Working Professional in IT companies catering to banking and Finance Industry.
Candidates Pursuing UG courses in Commerce as well as Engineering Domain ( 12th passed Student) looking for a career in Banking ,Fiinance & Risk management
Candidates Pursuing CA / MBA / Actuary /CFA.
Industries Employing Certified FRMs
Investment banks
Commercial banks
Central banks
Asset management firms
Corporations (including nonfinancial corporations)
Consulting firms like PWC , KPMG , Deloitte ,E&Y etc
Hedge funds
Mutual Funds
Insurance firms
Credit agencies
Government/regulatory agencies
Risk and technology Vendors
EduAscent Institute of Finance is a specialist in Financial Market Education and Services, We are pioneers in introducing fast track and long term programs for providing state-of-the-art Actuarial / financial market education.
What differentiates EduAscent from others is, its “Learning-by-Doing” approach, giving them the real-world skills, practical understanding and practice. Our students have access to a broad range of partnerships, projects, recruiters and career opportunities .
FRM coaching classes are offered by the Institute of Professional & Computerised Accountancy.
It takes candidate a minimum 1 year to complete both the exams of the course. Candidates can appear for the part 1 and part 2 exams in May and November.
Financial Risk Manager By Global Association of Risk Professionals (GARP), USA
FRM® – Financial Risk Manager Recognized in every major market, the FRM is the leading certification for risk managers. It is consistently in demand by nearly every major bank and firm in the world, and is awarded only to professionals who demonstrate the knowledge and ability to anticipate.
FRM ® Financial Risk Management is an enriching career option & is offered by the Global Association of Risk Professionals (GARP, USA).
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