Name: Financial Risk Manager Part 1-2
Description of the certificate:
Leading certification for financial risk managersWebsite
Recognized in every major market, the FRM is the leading ertification 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, respond, and adapt to critical risk issues.
Financial Risk Manager Certification, GARP is the global standard for financial risk and the leading certification for risk managers. FRM is in demand by almost every major bank and firm in the world and is only awarded to professionals who demonstrate the knowledge and ability to anticipate, respond and adapt to critical risk issues.
FRM certification is awarded after a candidate has passed two MCQ exams (Part I and Part II of the FRM exam) and demonstrated two years of work experience.
Part 1 of FRM covers the following topics:
Foundation of Risk management
Financial Markets and Products
Valuation and risk models
Exam Format: 100 Multiple Choice Questions | 4 hours
Part 2 of FRM covers the following topics:
Market Risk Measurement and management
Credit risk Measurement and management
Operational Risk and Resiliency
Liquidity and Treasury Risk Measurement and Management
Risk Management and Investment Management
Current Issues in Financial Markets
Exam Format: 80 Multiple Choice Questions | 4 hours