Financial Risk Management (FRM®) Program

The FRM® Program is the premier global designation for Financial Risk Managers and provides in-depth knowledge in the field of Finance and Risk Management. The FRM® Program is overseen by the Global Association of Risk Professionals (GARP) and its FRM® Committee, which comprises of leading risk management professionals and academics. There are more than 32,000 FRM® members of GARP, the Association conducting FRM®, from 141 countries across the world.

Risk Management - A Niche Area

Expertise in Financial Risk Management is essential for every peron. Advanced knowledge of Financial Risk concepts helps a person to create a niche in the Finance domain and sets himself apart from competition. The FRM® Program not only helps in securing a job, but also helps in taking financial decisions for oneself.

The program is suitable for Bankers, IT professionals, Analytics and Finance professionals with an interest in risk management.

It is also beneficial for B.tech, MBA, Finance graduates who are interested in financial risk management careers

Career Opportunities:

The FRM® Program also provides highly lucrative career opportunities to its candidates. Candidates passing FRM® exams are seen at various high-level positions in companies such as Chief Risk Officer, Senior Risk Analyst, Head of Operational Risk, and Director - Investment Risk Management, etc.

Employers around the World are recognizing the skills and expertise of FRM® candidates. The FRM® designation is by far the best known amongst major companies across the globe in the finance sector.

The FRM® Program consists of two challenging parts: