The FRM is a qualification for risk management professionals, particularly those who are involved in controlling, analyzing, or evaluating potential credit risk, liquidity risk and market risk as well as non-market related financial risks. FRM holders perform a large array of functions connected with risk management within asset management firms, investment banks as well as in government agencies and corporations.
Lay a foundation for continued Improvement and Advancement in your Career
Demonstrate your proficiency with Internal Staff and External Clients
Develop your knowledge of best practices in the Industry
Distinguish yourself from your Peers
Write a public review