Financial Risk and Regulation Series is a self-study curriculum designed to give candidates a deep, qualitative understanding of risk management methodologies, governance structures for the management of risk in banks, and the regulatory principles outlined by the Basel Committee on Banking Supervision. Successful candidates who complete the series will be better prepared to understand issues related to the identification, assessment, and mitigation of risks and how these risks are managed within the firm.
FRR®
FINANCIAL RISK & REGULATION -FRR® (GARP) Risk overview Exam Prep Service.
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