FRM - 2000-2001-2002 Financial Risk Manager Examination CD, GARP

What are the requirements for Certification?

Pass the Exam Part I

Pass the Exam Part II within 4 years

Demonstrate 2 years of related work experience

A candidate demonstrates work experience by submitting 4-5 sentences describing their professional role in the management of financial risk. The application to submit your work experience can be completed online. The work experience submitted cannot be more than 10 years prior to having passed the Exam Part II. Experience completed for school will not be considered, including internships, part-time jobs, or student teaching. A candidate has 5 years to submit their work experience. After 5 years, the candidate will have to re-enroll in the program and pay the required fees again.

A candidate cannot use the designation after their name in any manner until they have been certified.

How much time do I have to complete the Certification process?

Once a candidate passes the Exam Part I, they must then pass the Exam Part II within 4 years. Candidates have 5 years from the date they pass the Exam Part II to have their work experience verified.

What’s on the Exam Part I?

The Exam Part I focuses on the tools used to assess financial risk. They include:

  • Foundations of risk management concepts
  • Quantitative analysis
  • Financial markets and products
  • Valuation and risk models
  • What’s on the Exam Part II?
  • The Exam Part II focuses on the application of the tools acquired in the Exam Part I. They include:
  • Market risk measurement and management
  • Credit risk measurement and management
  • Operational and integrated risk management
  • Risk management and investment management
  • Current issues in financial markets

What is the Committee?

The Committee is a select group of risk management experts from around the world. Committee members represent all aspects of financial risk management and possess expertise in one or more risk management disciplines.

Current members include practitioners in:

  • Academia
  • Asset Management
  • Corporate
  • Credit, Operational, and Market Risk
  • Emerging Markets
  • Insurance
  • Legal and Regulatory Practices
  • Rating Agencies
  • Quantitative Disciplines

What does the Committee do?

The Committee plays a vital role in preparing for the Exam. The Exam topics and their respective weightings are reviewed yearly to ensure the Exam is kept timely and relevant.

Who is on the committee?

  • Dr. René Stulz (Chairman) - Ohio State University
  • Rich Apostolik - Global Association of Risk Professionals
  • Richard Brandt - Citibank
  • Dr. Chris Donohue - Global Association of Risk Professionals
  • Hervé Geny - Thomson Reuters
  • Keith Isaac, - TD Bank
  • Steve Legit, CFA - UBS Wealth Management
  • William May - Global Association of Risk Professionals
  • Michelle McCarthy - Nuveen Investments
  • Dr. Victor Ng - Goldman Sachs & Co.
  • Dr. Elliot Noma - Garrett Asset Management
  • Liu Ruixia - Industrial and Commercial Bank of China
  • Dr. Til Schuermann - Oliver Wyman
  • Dr. Serge Sverdlov - Redmond Analytics
  • Alan Weindorf - Visa

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