FRM (Financial Risk Manager) Training
Financial Risk Manager (FRM) is a professional designation awarded by the Global Association of Risk Professionals (GARP) to the candidates who successfully complete this certification program. It is a globally recognized standard for those who manage risk.
With the rapid changes in the finance industry worldwide there is a need for professionals who manage risk, money, and to obtain globally standardized up-to-date knowledge and FRM aims to fill that gap.
In order to become a Certified Financial Risk Manager after passing the FRM Exam Part I & II, candidates must demonstrate a minimum of two years of risk-related full-time professional experience positions including Portfolio Management risk consulting, and other fields.
Clearing the FRM Exam Part I is the first step for an individual to become a Certified Financial Risk Manager. The candidates are expected to know about the risk management concepts and theories as they would apply to a risk manager’s daily work. The Part I exam focuses on the essential tools and concepts required to assess financial risk. This exam is available in the month of May and November each year. There are 100 multiple choice questions to be attempted within the duration of 4 Hours.
The Financial Risk Manager Exam Part II is the second of two exams that a candidate has to clear to become a certified FRM. The FRM Exam Part II focuses on the practical application of risk management tools covered in Part I to specific areas of risk management such as credit risk, market risk,and operational risk. This exam is available in the month of May and November each year. There are 80 multiple choice questions to be attempted within the duration of 4 Hours
Ara Education is the pioneer institute for training FRM classes in Coimbatore with the support of on campus job placement in India & International
Learn FRM from industry experts who are passionate about teaching.for further details visit http://www.garp.org/