How to Become a Certified Financial Risk Manager (FRM®)

Financial Risk Managers (FRM) receive accredited by the Global Association of Risk Professionals (GARP). FRMs specialize in assessing risk for major banks, insurance companies, accounting firms, regulatory agencies, and asset management firms. FRM certification requires passing a two-part exam and completing two years of work experience in financial risk management. An FRM identify threats to assets, earning capacity, or […]

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Changes to the 2020 FRM® Exam and Study Materials

Changes to the 2020 FRM® Exam and Study Materials: Financial risk managers work in environments that can be uncertain, complex and volatile. Staying current with risk topics and maintaining critical analytical skills are import for adding value to a firm’s risk management program. The FRM’s curriculum is dynamic and responsive to changing markets and their […]

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