Professional Certification Courses
Financial Risk Management (FRM)

The Financial Risk Management (FRM) certification is a benchmark qualification for financial risk professionals offered by the Global Association of Risk Professionals (GARP). This globally recognized credential is designed for risk management professionals who are looking to deepen their expertise in risk management concepts and practices. The certification is highly valued by employers in diverse fields including banking, asset management, insurance, and consulting, making it a powerful addition to your professional profile.


1-2 Years



  • Certifications:


A student in the first year of Graduation is also eligible to appear for the FRM Part 1 exam. However, there are certain criteria to be fulfilled to obtain the FRM Certificate.

You must have cleared Levels 1 and 2 of the FRM Program, within 4 years of applying for the Part 1 exam.

You must have a minimum of 2 years of relevant work experience in Risk profile, within 5 years of clearing the Part 2 exam.

FRM syllabus
  • Quantitative analysis,
  • Fundamental risk management concepts,
  • Financial markets and products, and
  • Valuation and risk models.
  • Market risk
  • Credit Risk
  • Operational Risk
  • Risk management and investment management
  • Current Issues in Financial Markets