With seismic changes continuing to occur in the financial services industry worldwide, professionals who manage risk, money and investments are recognising the need to objectively demonstrate a globally standardised level of up-to-date industry knowledge. The global FRM community is growing quickly, with certified Financial Risk Managers represented at nearly every major banking institution, government regulator, consulting firm and financial services institution around the world. This training continues where part I ended. Keep in mind that Certified Financial Risk Managers are part of an elite, global network, and are valued by top employers across diverse businesses.
This exam training is a logical continuation of Financial Risk Management Part 1 and has been developed for risk managers, business analysts, accountants, central bank auditors, internal auditors and treasury consultants.
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 goal of this training is to teach you about 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. The training consists of 7 topics and a mock examination. 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.
A level of higher professional education (HBO) is required in addition to your professional experience in financial risk management.
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.