Financial Risk Management - I (FRM)

Excellent preparation for the official GARP exam and certification

Studiebelasting

Niveau

Training

Erkenning

Opleidingsvariant

Dag

Vanaf prijs

€ 1.532,50

Duur

3 dagen

Eerstvolgende startdatum

07-10-2021
Algemeen
Algemeen
Algemeen
Algemeen
Algemeen

Financial risks are of particularly great importance for day-to-day banking. The financial risk refers to the risk of a business’ cash flows not being sufficient to pay banking loans and fulfil other financial responsibilities. The level of financial risk, therefore, relates less to the business’ operations themselves and more to the amount of debt a business incurs to finance those operations. The Financial Risk Manager (FRM®) designation is the globally recognised standard for those who manage risk. During this exam training you will gain knowledge of the fundamental risks for banking institutions, government regulators, investment funds, consulting firms and financial services institutions around the world in their day-to-day operations. This course prepares you for FRM Part I.

Target group

This training has been developed for risk managers, business analysts, accountants, central bank auditors, internal auditors and treasury consultants.

Goal and structure

For professionals working in risk management who need to be GARP-certified, the UvA Academy for Banking and Insurance (UvA ABV) offers this exam training. UvA ABV is a collaboration between NIBE-SVV and UvA and works together with the best teachers in this field, namely Tony Illis and Coen Streefland. The training prepares you for the high level of risk management used in the banking business. The training consists of 7 topics with a mock exam. During this training you will gain knowledge of the fundamental risks for banking institutions, government regulators, investment funds, consulting firms and financial services institutions around the world in their day-to-day operations. This interesting exam training is taught by highly experienced and professionally active lecturers. The lessons are practically oriented, highly accessible and provide excellent preparation for the final modular assignment.

Preliminary training

A level of higher professional education (HBO) is required.

Course materials

To prepare for the exam, GARP offers an online learning environment and books. You register for the GARP exam yourself, www.garp.org. You can order the study material from GARP. Please allow a delivery time of approximately 6 weeks for the book. Please note the GARP conditions: You have 9 months after your paid registration with GARP to complete the Financial Risk and Regulation program and participate in the exam. We recommend that you register with GARP only after you have received confirmation with the definitive start date of your training.

Heb je vragen?

Onze opleidingsadviseurs zijn nu telefonisch bereikbaar. Op werkdagen van 08.30 tot 17.00 uur. WhatsApp van 10.00 tot 16.00 uur.

Heb je vragen?

Onze opleidingsadviseurs zijn nu telefonisch bereikbaar. Op werkdagen van 08.30 tot 17.00 uur. WhatsApp van 10.00 tot 16.00 uur.

Vraag onze studiegids aan

Het complete aanbod voor ambitieuze financieel dienstverleners ligt weer voor je klaar. Benieuwd naar ons volledige aanbod?

De Wft-PE periode loopt tot 1 april 2022!

Als financieel adviseur moet je je beroepskwalificatie(s) onderhouden. Zorg dat je aan deze eis voldoet met de Wft-PE examens en opleidingen van NIBE-SVV.