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Certification

Financial Risk Manager (FRM)

Course description

The FRM is the leading certification for risk professionals. Master market, credit, operational and liquidity risk with quantitative rigour.

Duration6–9 months
Price$560
FormatOnline Live
LevelAdvanced
What you will achieve
  • Measure market, credit & operational risk
  • Apply VaR and risk models
  • Understand Basel & regulation
  • Prepare for FRM Part I & II
Content covered

The practical learning path.

3 modules
M1

Foundations of Risk

  • Risk frameworks
  • Quantitative analysis
  • Financial markets & products
M2

Valuation & Risk Models

  • Value at Risk (VaR)
  • Credit & market risk
  • Operational & integrated risk
M3

Current Issues & Exam

  • Basel & regulation
  • Liquidity & treasury risk
  • Timed mock exams
FAQ

Good to know before you apply.

Who is this program for?

Financial Risk Manager (FRM) suits finance, accounting and business professionals — and ambitious graduates — who want practical, job-ready skills with a recognised outcome.

Do I need prior experience?

A basic finance or accounting foundation helps, but each module starts from core principles and builds up, so motivated beginners can keep pace.

How do I enrol?

Use the “Request info” form and an advisor will share the next intake dates, fees and payment options.