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Become familiar with the GARP and GARP 2016-FRR?
As an international professional association, the GARP fosters and promotes management education, research, and practice in the fields of insurance, banking, securities, and other financial services. They provide important resources for professionals in financial management in order to advance their careers. Fare Risks & Regulation, or FRR certification, is a professional designation offered by GARP to recognize candidates who have demonstrated a piece of knowledge and competence in the field of financial management. The 2016-FRR is updated on an annual basis.
GARP's Financial Regulation Certification is the only globally recognized certification in financial management. It has been developed by the GARP, which plays a vital role in the global management community. The GARP FRM certification will give you a deep understanding of financial products, including derivatives, structured products, portfolio management products, etc. This will help you to develop an appreciation for the complex issues facing risks professionals working on Financial Management projects of any scale or complexity. GARP 2016-FRR exam dumps and papers help the candidates to prepare for 2016-FRR. Unused or outdated skills and knowledge could potentially be detrimental to your career and the organization. Through the GARP certification program, you can assure your skills and knowledge are current and relevant.
Reference: https://www.garp.org/courses/financial-risk-and-regulation
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The average salary of the GARP 2016-FRR certified
A certified GARP 2016-FRR professional can earn more compared to others, by preparing with the help of 2016-FRR exam dumps. The average salary for a certified GARP 2016-FRR professional is given as follow:
- In India: ₹ 100,000 - 200,000.
- In the United Kingdom: £55,000 - £75,000.
- In the United States: $80,000 - 130,000.
- In Singapore: S 80,000 - 130,000.
- In Australia: AU 110,000 - 155,000.
Topics covered by the GARP 2016-FRR
Here is a list of the main subjects that will be covered in the 2016-FRR:
- Regulation, Supervision, Reporting, and Management: 20%
- Financial Services: 15%
- Emerging Markets: 15%
- Risk Management: 50%
GARP 2016-FRR Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Operational Risk | - Operational Risk Frameworks
|
| Topic 2: Risk Identification and Mitigation | - Enterprise Risk Management
|
| Topic 3: Asset and Liability Management | - Balance Sheet Risk
|
| Topic 4: Governance and Regulation | - Risk Governance Frameworks
|
| Topic 5: Market Risk | - Market Risk Measurement and Management
|
| Topic 6: Credit Risk | - Credit Risk Analysis
|
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