The Certified Financial Risk Manager (CFRM) course prepares professionals to identify, assess, and manage financial risks within organizations.
The Certified Financial Risk Manager (CFRM) course is designed to equip professionals with the knowledge, skills, and tools necessary to identify, assess, and manage financial risks within organizations. In today’s dynamic financial environment, effective risk management is critical for organizational stability, profitability, and regulatory compliance. This course covers the full spectrum of financial risks, including market, credit, liquidity, operational, and regulatory risks. Learners will gain a thorough understanding of financial risk management principles, explore real-world case studies, and apply industry-standard models and tools. The curriculum also emphasizes the integration of risk management into business strategy, ensuring participants are prepared to navigate the complexities of modern financial landscapes.
Throughout the course, participants will engage with comprehensive modules on risk measurement techniques, enterprise risk management (ERM), regulatory frameworks, and strategic hedging techniques. The course also addresses emerging trends, such as financial technologies (FinTech) and regulatory shifts, making it an invaluable resource for professionals aiming to stay ahead in the risk management field.
Objectives:
Modules:
M-1: Introduction to Financial Risk Management
M-2: Market Risk
M-3: Credit Risk
M-4: Liquidity Risk
M-5: Operational Risk
M-6: Enterprise Risk Management
M-7: Regulatory and Compliance Risk
M-8: Financial Risk in Investment Management
Features:
Duration: 4 Months
Short Video Materials: Yes
Class schedule: Saturday 02:00 PM to 04:00 PM GMT Time
Mode of Learning: Virtual Class (Via Zoom)
Mode of Learning: Live Session
Post Completion:
Exam Method:
Assignment:
Enrollment Closes | 29/Nov/2024 GMT |
Live Chat | Enabled |
Regular Fee | $ 560.00 |
Special Fee | $ 460.00 |
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