FRM®

Financial Risk Manager®

There’s never been a more crucial time to stand out. As the financial industry becomes increasingly competitive, the professionals who succeed are the ones who can demonstrate their ability to add value to an organization. Earning your FRM® proves that your knowledge and skills are up to the latest international standards, and connects you to an elite network of expert risk professionals employed by the world’s leading institutions.

GARP® does not endorse, promote, review or warrant the accuracy of the products or services offered by Kaplan Professional Middle East(KPME) of GARP® Exam related information, nor does it endorse any pass rates that may be claimed by KPME. Further, GARP® is not responsible for any fees or costs paid by the user to KPME nor is GARP® responsible for any fees or costs of any person or entity providing any services to KPME. SCR®, FRM®, GARP® and Global Association of Risk Professionals™, in standard character and/or stylized form, are trademarks owned by the Global Association of Risk Professionals, Inc.

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    Globally recognized certification

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    Industry relevant curriculum

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    Higher Salary Advantage Globally

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    Diverse range of career paths

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Who Should Pursue?

Whether you want to enhance the value you bring to your current role or expand your career potential, the FRM® certification will help you set a standard for excellence in your risk management career.

Eligibility (Must satisfy at least one)

  • Pass the FRM® Exam Part I.
  • Pass the FRM® Exam Part II by December 31 of the fourth year of passing the FRM® Part I.
  • Submit two years of full-time relevant financial risk management work experience.

Roadmap to Earn the FRM® Credential

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START

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REGISTER FOR EXAM PART I

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REGISTER FOR EXAM PART II

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PASS EXAM PART II

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2 YEARS WORK EXPERIENCE

EARN THE CREDENTIAL

Exam Syllabus

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Topics

  • Foundations of Risk Management (20%)
  • Quantitative Analysis (20%)
  • Financial Markets and Products (30%)
  • Valuation and Risk Models (30%)
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Topics

  • Market Risk Measurement and Management (20%)
  • Credit Risk Measurement and Management (20%)
  • Operational Risk and Resiliency (20%)
  • Liquidity and Treasury Risk Measurement and Management (15%)
  • Risk Management and Investment Management (15%)
  • Current Issues in Financial Markets (10%)

Exam Format

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Learning materials available
Live interaction with the trainer
Online learning resources and bite-sized pre-recorded videos
Mock exams
Doubt solving support
Advice and guidance from trainers
Interaction with other students
Study at your own pace

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