- مدة الدورة التدريبية: 120 ساعة
- مواعيد الدورة: استفسار
تفاصيل الدورة
Regarding Financial Risk Management Part -1 ProgramThe FRM is the benchmark for educational excellence in risk management and a springboard to new career heights in the risk profession. Join an elite network of more than 77,000 certified professionals employed by the world's leading banks, asset management firms, consulting firms, and regulators.
Professionals who successfully complete FRM Certification will:
- Demonstrate their ability to evaluate, measure, and monitor risk in real-world scenarios.
- Gain knowledge applicable to multiple industries and functional roles
- Be in an advantageous position to enhance their job performance and advance their careers.
- Join an elite international network of leading risk managers.
The FRM is a professional designation administered and supported by GARP for over 25 years. The FRM has been earned by over 76,000 individuals from over 190 countries and territories. They work for global and regional banks, asset managers, consulting firms, regulators, and real economy companies.
FRM Advantages at a Glance
• Demonstrate your ability to evaluate, quantify, and monitor risk in real-world scenarios.
• Future-proof your career with transferable skills applicable across industries and functional roles
• Gain insights from a program that FRMs surveyed have indicated they would recommend to friends and colleagues
• Share ideas and collaborate with a global network of market professionals
FRM Program Curriculum
- FRM Exam Part I Topics
- The fundamentals of risk management
- Quantitative Evaluation NEW Financial Products and Markets
- Valuation and Risk Models
- Market Risk Management
- Credit Risk Management
- Operational Risk Management and Resilience
- Liquidity and Treasury Risk Management and Investment Risk
- Current Financial Market Issues
- Part I: 100 multiple choice
- questions in 4-hours
- Part II: 80 multiple choice
- questions in 4-hours
How do we conduct our classes and how we help you pass in first attempt
- We send you the ELEGANT Notes in advance before 2-3 days of class.
- In the class we explain the chapter in detail
- We solve all important questions, mainly numerical in the class itself.
- We send you all questions and answers of the chapter after each session.
- We send you the mock test link.
- Recorded live class for your review.
- You are in a WhatsApp group, where you post your queries.
- There is half an hour pre-session where you can clarify your doubts.
- Master class at the end
- You get support until you pass with the revised materials, if any, and can attend unlimited classes.
- Qualified and industry-experienced faculties
- Unlimited sessions until you pass.
- Cover your missed class in another batch also.
- Personal interaction with the trainers
- WhatsApp Group
- Cover your classes even after your break/vacation.
- Small batch size and hence, personal attention.
- Practice opportunities whenever you have time.
- Attend repeat classes for free till you pass.
- Full trainers’ support
Course Syllabus:
- Principles of Risk Management
- International Risk Regulation
- Operational Risk
- Credit Risk
- Market Risk
- Investment Risk
- Liquidity Risk
- Model Risk
- Risk Oversight and Corporate Governance
- Enterprise Risk Managament (ERM)
المتطلبات
Open to all candidates, regardless of prior skills or qualifications.
وظائف مناسبة لهذه الدورة
Finance Officer , Credit Analyst , Senior Manager , Credit Policy and Processاستفسر عن هذه الدورة
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