
Financial Risk Manager (FRM)
A Financial Risk Manager (FRM) is a professional certification for individuals who assess and manage risks in financial institutions and investments. They analyze potential problems like market fluctuations, credit defaults, and operational issues to help organizations prevent significant losses. The FRM designation demonstrates expertise in identifying, measuring, and controlling various types of financial risks, ensuring the stability and profitability of financial systems. This certification is valued globally and is often pursued by risk managers, analysts, and professionals involved in financial risk assessment.