FRM Part Time

Issuer: Global Association of Risk Professional® (GARP®)

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About

The Financial Risk Manager (FRM®) certification, administered by the global association of risk professionals (GARP), is a globally recognized credential for risk management professionals. Established in 1997, the certification equips candidates with advanced knowledge and skills to identify, analyze, and mitigate financial risks in today’s complex global markets. Recognized by leading financial institutions, regulatory bodies, and corporations worldwide, the FRM is a hallmark of expertise in the field. Its reputation makes it highly sought-after by organizations across banking, sovereign wealth funds, consultancy firms, and asset management industries. Currently, more than 70,000 certified FRMs are employed at nearly every major bank, asset management firm, hedge fund, consulting firm, and regulator around the world. FRM registrations have grown by an average of 15% per year since 2010, surpassing 83,000 in 2020. This growth reflects the rapidly increasing demand for professionals trained in measuring and managing financial risk.

Eligibility
Entry Requirements: 1. Any Bachelor’S Or Equivalent Degree (Finance, Economics, Risk Management, Or Actuarial Science Is Preferred), With Cgpa 3.0 And Above. 2. At Least 3 Years Of Working Experience. 3. Must Currently Hold A Role In Financial Risk Management Or A Related Risk Management Discipline (E.G., Credit Risk, Market Risk, Operational Risk, Or Enterprise Risk Management).
Details
  • Duration

    2 Years

  • Location

    WP Kuala Lumpur

  • Method

    Hybrid

  • Price

    RM34,560.00

Enquiries

03-27254291, 016-6011271

info@noesis.edu.sg

https://noesis.edu.sg/