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Financial Risk Management
What is FRM?
The Global Association of Risk Professionals (GARP) offers a financial risk manager (FRM) certification that verifies knowledge of risk management concepts.
It is a difficult credential to earn, but it can open doors to several job pathways in financial risk management.
When managers use financial risk management appropriately, they can access chances to create several sorts of shareholder value.
FRM course advantages
The FRM certification's main benefit is distinguishing you from other risk experts working in the financial and investment areas. Every top employer knows and values the FRM certification because it sets a high standard. FRM is worth doing for the below-given reasons:
Join an elite club of people all over the world
Set yourself apart from your peers
Showcase your leadership abilities at work
Confirm your accomplishments by gaining real-world experience
Improve your public image
Expand your global networking network
Lay the groundwork for future career advancement and improvement
FRM course syllabus
Foundation of Risk Management
Quantitative Analysis
Financial Markets and Products
Valuation and Risk Models
FRM course duration
Based on the candidate's determination and focus, it takes at least one year to finish both FRM tests. Section I and Section II are available to candidates. The Part I exam is offered in May, August, and November. In addition, the Part II exam is held in May and November. The tests are administered in CBT centers.
The FRM test is valid for at least 5 years from the date of enrollment. During this time frame, the candidate must pass both tests, get significant experience, and acquire the certificate.
FRM course opportunities
The introduction of risk tools and approaches to the investment management system is covered in the FRM course.
The financial risk management course opens up significant job opportunities in Risk Management, Trading, Structuring, Modelling, and other fields.
Chief risk officer, senior risk analyst, head of operational risk, director, investment risk manager, credit risk manager, and more positions are available to FRM holders.
FRM course eligibility
There are no basic requirements for taking the financial risk management course exam. The FRM Part 1 test is open to any bachelor (Final Year of Graduation). However, there are some requirements for obtaining the certificate. A candidate for certification as a financial risk manager should have the following qualifications:
Part I and Part II of the FRM course exams were passed
2 years of related job experience is required
GARP fellow membership is active
Digi Acai provides real-world problems that encourage students to apply classroom principles and adapt to career realities. With our practical and interactive learning, soft skills training, and placement aid, Digi Acai is devoted to assisting you at every step. They give you a general idea of how FRM certification is worth doing for various reasons as it opens up a lot of opportunities.
Digi Acai provides unparalleled customer service
Assist with a smooth evaluation exam and placement
After passing the exam, contact our career services.