The Financial Risk Manager (FRM®) is the internationally recognised certification program offered by the Global Association of Risk Professionals (GARP). It is the world’s most highly respected, widely recognized certification for financial risk management. FRM® certification sets you apart in the global marketplace and helps you move ahead. The Certified Financial Risk Manager (FRM) Examination Review Workshop offered by KMDC is an education programme that will prepare the candidates for the FRM Certification examination.
The FRM certification sets you apart in the global marketplace and helps you move ahead. Certified FRMs have achieved positions such as Chief Risk Officers, Senior Risk Analyst, Head of Operational Risk and Director of Risk Management. In demonstrating your expertise and commitment to better risk practices, you also join a world-wide community dedicated to improve financial stability.
To be awarded the FRM® designation, candidates must complete a challenging two-part, practice-oriented examination which assesses a candidate’s ability to manage and measure the most current real-world risk issues.
Certified Financial Risk Manager (FRM) Examination Review Workshop
Part I – 10-Day Workshop; Next intake – September 2018
Next Intake: September 8, 15, 22, 29, October 6, 13, 20, 27, November 3, 10
If you have enrolled for the FRM examination, and need an extra help in FRM examination preparation, do sign up with us immediately. You will be just in time for the coming FRM Examination in May or November.
Who should take this programme?
The FRM certification is for those who have a keen interest on financial risk management. It has broad applicability in financial services, insurance, the public sector and academia. Candidates for the FRM® work in various industries, including Investment banks, Commercial banks, Central banks, Asset management firms, Corporations, Consulting firms, Hedge funds, Insurance firms, Credit agencies and Government/Regulatory agencies.
What will you learn?
The FRM certification programme is a comprehensive examination and you are expected to be familiar with a broad range of risk management concepts and techniques. The Learning Objective (which can be downloaded from www.garp.org) is to help you identify the major themes and knowledge domains. The key topics are:
– Foundations in Risk Management
– Quantitative Analysis
– Financial Markets & Products
– Valuation & Risk Models
– Market Risk Measurement & Management
– Credit Risk Measurement & Management
– Operational & Integrated Risk Management
– Current Issues in Financial Markets
Unique Selling Points
1. The FRM designation is the world’s most highly respected, widely recognised certification for financial risk management.
2. Personal satisfaction and achievement in conquering an examination developed by the best risk management practitioners in the world.
3. Provides an opportunity to join and network with an elite group of FRMs across the globe.
4. Enhances your personal and professional opportunities within the world of finance.
Nil – a strong foundation in quantitative analysis and risk management is recommended.
Self register at www.garp.org. Examination held every year, in May and November.
FRM Part II: 3-hour 80 Multiple Choice Question
Designation – What will I accomplish?
2nd Intake: September 8, 15, 22, 29, October 6, 13, 20, 27, November 3, 10 (Download Semester 2 Timetable HERE)
Certified Financial Risk Manager (FRM) Examination Review Workshop Part I Fees: there are 3 categories – Early Bird, Standard and Late Registration. The earliest you register, the more you save.
How to Enrol:
Online payment to KMDC’s RHB Bank account number: 212 349 000 543 53 (KDU Management Development Centre Sdn Bhd) or authorise KMDC to charge your credit card.
Make an Online Enquiry or Sign Up:
Submit the online Enquiry/Sign Up Form below and we will follow up with you. For more information about FRM Exam Review Programme, please visit our FRM main Page.
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