Financial Risk Management - Part I
Financial institutions rely on risk management professionals, such as treasurers, risk analysts, risk controllers and portfolio managers, to make decisions determining the fate of the institutions in periods of financial distress. For this reason, it is of utmost importance for these risk professionals to possess a thorough and up-to-date knowledge of risk management.
The Financial Risk Management Program (FRM) of Goethe Business School represents a unique combination of:
Financial Risk Management Training
The program puts a strong focus on providing an integrated picture of financial risk management. This will be helpful for most risk professionals, which usually have a strong in-depth knowledge of one particular risk area, but lack knowledge in other areas.
Preparation for GARP's™ FRM® Exam
Based on a five year experience with preparing candidates for the GARP™ FRM® Exam, the program covers the latest developments in market risk, credit risk, and operational risk, and also provides for the necessary foundations in quantitative methods, fixed-income mathematics, regulation, and accounting. The curriculum is revised and updated yearly according to GARP's Study Guide to fit participants' needs to successfully master the FRM exam.
For further information and to register, please click here.