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Financial Risk Manager : ウィキペディア英語版 | Financial Risk Manager
The Financial Risk Manager (FRM) designation is an international professional certification offered by the Global Association of Risk Professionals. To be awarded the FRM designation, candidates must complete a rigorous two-part, practice-oriented examination that covers the major topics in financial risk management, demonstrate two years' professional work experience in financial risk management, and meet other requirements. ==The FRM designation== The FRM is a qualification for risk management professionals, particularly those who are involved in analyzing, controlling, or assessing potential credit risk, market risk, and liquidity risk as well as non-market related financial risks. FRM holders perform a broad variety of functions related to risk management within investment banks, asset management firms, as well as in corporations and government agencies. Top employers of FRM holders include global financial services firms Deutsche Bank, HSBC, and UBS, as well as auditing firms KPMG, Ernst & Young (EY) and PricewaterhouseCoopers (PwC). The FRM designation specification is disclosed on the U.S. Financial Industry Regulatory Authority (FINRA) education website where the FRM certificate program is shown on the FINRA guide to designations. The FRM and PRMIA's PRM are often compared as being the two definitive risk management designations in the industry.〔(global-derivatives.com ) 〕
抄文引用元・出典: フリー百科事典『 ウィキペディア(Wikipedia)』 ■ウィキペディアで「Financial Risk Manager」の詳細全文を読む
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