Financial Risk Manager
The FRM sets the standard for educational excellence in risk management and serves as a gateway to reaching new career heights in the risk profession. This course aims to instruct students on how to identify, analyze, and monitor risks in the financial markets, and how to develop and implement effective risk management strategies.
Upon completion of this course, trainees will be able to:
• Connect various financial risks to various financial instruments and markets
• Learn to analyze markets and assess risk factors
• Acquire essential skills in making informed financial decisions
• Gain insights into capital structure optimization
• Understand the components of global financial markets
• Learn to develop models to measure and manage exposures to financial risk
• Develop a strong background in quantitative tools and approaches
• Learn to develop strategies and frameworks to mitigate financial risks
• Gain experience in Market, Credit, and Operational Risk Management
• Top Executive Levels in Banks
• Risk Managers & Employees
• Credit Managers & Employees
• Finance Managers & Employees
• Treasury Managers & Employees
• Business Managers & Employees
• Internal Auditors
To obtain a certification of Completion in Certified Risk Manager Part 1, you must complete the course with an attendance of no less than 80%
One year membership
Access to the course material and quizzes
Accredited Attendance Certificate
2023 Updated Material
Coming Soon