The Finance Grad's course training enables the student to build a strong conceptual foundation that helps them excel in the area of Finance and Risk Management. FRM® course is a globally recognized professional certification for banking and finance professionals administered by Global Association of Risk Professionals® (GARP®, USA).
The Financial Risk Manager (FRM) is a globally recognized certification for professionals specializing in risk management within the financial industry. Administered by the Global Association of Risk Professionals (GARP), the FRM program provides a comprehensive understanding of various financial risks and the tools to manage them effectively. Join the TWSS FRM coaching to prepare for the exams with the help of the best faculty in India. It enables candidates to build a strong conceptual clarity that helps them excel in the areas of Risk Management, Portfolio Management, and Finance.
Individuals who hold a Bachelor's degree or are currently pursuing undergraduate studies(only Level 1 till graduation) are eligible, along with working professionals who have accumulated a minimum of 4,000 hours of work experience.
This 12-14 month course features flexible tuition schedules, conducted once or twice a week, usually on weekends. Ideal for working professionals and students pursuing other degrees, this format ensures minimal disruption to your daily routine.
The Exam is offered each year in May, August, and November. The FRM Exam process is sequential. Candidates must pass Exam Part I before their Exam Part II will be graded.
We hold weekly classes for our students to provide best education.
We have practical assignments that allows you to grasp concepts in an easier manner and make you exam ready.
We follow core practical approach while explaining each and
every concept of examination.
Enhance critical thinking and knowledge with specialized practical skill sessions for each subject.
Learn the key questions and case studies ask in that field.
Engage in interactive learning, embrace cutting-edge technology, and benefit from sessions led by industry experts.
Total Hours : 150
Live Classes Days : Saturdays and Sundays
Live Classes Timings : 4-6 hours
(per week)
The FRM (Financial Risk Manager) course is a professional
certification offered by the US-based Global Association
of Risk Professionals (GARP). It equips individuals with
expertise in managing financial risks. The topics covered
in the course include:
Market risk
Credit
risk
Operational risk
The FRM exams consist of 2
parts having a total of 10 sections. Owing to the diverse
topics covered and the international orientation of the
course it is highly regarded in the finance industry
across the globe, particularly for roles involving risk
management.
The roles of a CFA (Chartered Financial Analyst) and FRM (Financial Risk Manager) are different. CFA is a backward-looking profession that analyzes past performance, forecasts future performance, and advises on investment opportunities. FRM plays an active role in identifying, quantifying, and mitigating the risks faced by a business. In a nutshell, the CFA is more comprehensive and suitable for a broader range of finance roles while FRM is a specialist in risk management.
There is no restriction on when and how you take the FRM exams. But once you apply for the FRM part 1, you need to clear both levels within 4 years from the registration date. The best part about the FRM course is that you can pace your preparations as per your comfort. Typically, candidates take several months to prepare for each part of the FRM exam. The exams are held twice a year, and candidates can choose to take both parts on the same day or in separate sittings.
The preparation time for the FRM (Financial Risk Manager) exam varies based on individual factors like prior knowledge, study habits, and experience. GARP suggests allocating around 200-240 hours per exam part. The test covers diverse topics like quantitative analysis, risk modeling, market risk, and more, so ample time for study materials review and practice exams is crucial for success.
To be eligible to pursue the FRM course, you need to obtain a bachelor’s degree. Although, you can write part 1 of the FRM exams along with the bachelor’s degree to save time. However, to obtain the certification, you should complete a minimum of 2 years of work experience in the field of risk management after completing the certification.
As you know, MBAs are business administrators. Hence, they are responsible for activities related to the smooth running of the business. Disciplines like marketing, finance, IT, HR, etc. are a part of the MBA course. Essentially, they form a part of the operational management of the business. On the other hand, FRM plays an active role in identifying, quantifying, and mitigating the risks faced by a business.
For professionals in risk management or finance, the FRM course is highly regarded, enhancing expertise in financial risk. It can lead to career advancement and increased earning potential.
Before enrolling in the FRM Program, no specific educational or professional prerequisites are required. You can register for the program without needing any specific qualifications or prior experience.