Students
Tuition Fee
Start Date
Medium of studying
Duration
Details
Program Details
Degree
Courses
Major
Finance | Risk Management
Area of study
Business and Administration
Course Language
English
About Program

Program Overview


Program Overview

The Financial Risk Manager- 2 Exam Preparation program is designed to equip students with the knowledge and skills necessary to succeed in the field of financial risk management.


Program Details

Program Description

The program focuses on preparing students for the Financial Risk Manager- 2 exam, covering a range of topics related to financial risk management.


Program Requirements

  • Completion of the Financial Risk Manager- 1 exam or equivalent
    • Relevant work experience in finance or a related field
    • Strong understanding of financial concepts and principles

Admission Criteria

  • Bachelor's degree in finance, economics, or a related field
    • GPA of 3.0 or higher
    • Letters of recommendation from academic or professional references

Tuition Fees

The tuition fees for the program are not specified.


Research Areas

The program covers various research areas, including:


  • Financial markets and instruments
  • Risk management and mitigation strategies
  • Regulatory frameworks and compliance
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