Financial risk management is one of today’s fastest growing professions.
FRM professionals help management and boards of directors to identify, measure, and monitor financial and business risks, the relationships between risks and returns, and the control environment over the management and reporting of these risks. In today’s complex world of financial instruments, FRM professionals have assisted in valuation approaches; stress testing, model development and risk rating, and measurement approaches to help management leverage the leading practices in risk identification and measurement.
Central bankers and securities regulators want to ensure that risks are contained to prevent the whole scale “melt-down” of any or all financial institutions. As Kaplan-Schweser is the sole provider of FRM study manuals, we are your source for the best FRM preparation with our experienced team of tutors.
Eligible Candidates: BSc or MSc graduates in Finance, Economics, Actuarial Science, Management Studies, Statistics and ACCA holders.
Contact us here for more details on the next upcoming FRM review.