FINANCIAL RISK AND REGULATION (FRR)

Welcome to the Brand page for “FINANCIAL RISK AND REGULATION (FRR)”, which is offered here for Providing education in the field of market risk management, credit risk management, operational risk management, and asset and liability management rendered through a self-study course followed by an examination; providing education in the field of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure, rendered through a self-study course followed by an examination;financial risk and regulation (financial risk regulation);as to financial risk and regulation;testing to determine professional competency in the field of market risk management, credit risk management; operational risk management, and asset and liability management; testing to determine professional competency in the field of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure;testing, analysis and evaluation of the skills, qualifications, knowledge and competencies of others for the purpose of achieving a certificate by passing a financial candidate's course and exam in the areas of market risk management, credit risk management; operational risk management, and asset and liability management; testing, analysis and evaluation of the skills, qualifications, knowledge and competencies of others for the purpose of achieving a certificate by passing a financial candidate's course and exam in the areas of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure;.

Its status is currently believed to be active. Its class is unavailable. “FINANCIAL RISK AND REGULATION (FRR)” is believed to be currently owned by “Global Association of Risk Professionals, Inc.”

Owner:
GLOBAL ASSOCIATION OF RISK PROFESSIONALS, INC.
Owner Details
Description:
Providing education in the field of market risk management, credit risk management, operational risk management, and asset and liability management rendered through a self-study course followed by an examination; Providing education in the field of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure, rendered through a self-study course followed by an examination;FINANCIAL RISK AND REGULATION (FINANCIAL RISK REGULATION);as to FINANCIAL RISK AND REGULATION;Testing to determine professional competency in the field of market risk management, credit risk management; operational risk management, and asset and liability management; Testing to determine professional competency in the field of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure;Testing, analysis and evaluation of the skills, qualifications, knowledge and competencies of others for the purpose of achieving a certificate by passing a financial candidate's course and exam in the areas of market risk management, credit risk management; operational risk management, and asset and liability management; Testing, analysis and evaluation of the skills, qualifications, knowledge and competencies of others for the purpose of achieving a certificate by passing a financial candidate's course and exam in the areas of risk management, particularly in the areas of how financial risk impacts assets, institutions and systems, as well as the global financial infrastructure;
Categories: PROVIDING EDUCATION FIELD