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Test Preparations

FRM Program at Accelero
  • The Financial Risk Manager (FRM®) designation is the globally recognized standard for those who manage risk.
  • Certified FRMs are part of an elite, global network, and are valued by top employers across diverse businesses.
  • Further info, please refer for information http://www.garp.org/frm/frm-program.aspx
  • Accelero Invitation Price of Rs 30,000/- for FRM Part I & II for training for May 2015 examination comprising the following:
    • 180 hours of classroom coaching by FRM certified senior qualified experienced risk management professional
    • 20 full day training for FRM Part I & II
    • 2 mock tests each for FRM Part I & II
    • Presentations, Notes & Practice Questions for all topics
    • Phone and E-Mail guidance to students requiring special attention
 

FRM-1

  • Day 1 - Quantitative Analysis
  • Day 2 - Quantitative Analysis
  • Day 3 - Foundations of Risk Management
  • Day 4 - Foundations of Risk Management
  • Day 5 - Financial Markets & Products
  • Day 6 - Financial Markets & Products
  • Day 7 - Valuation and Risk Models
  • Day 8 - Valuation and Risk Models
  • Day 9 - Mock Test I
  • Day 10 - Mock Test II

FRM-2

  • Day 1 - Market Risk
  • Day 2 - Market Risk
  • Day 3 - Credit Risk
  • Day 4 - Credit Risk
  • Day 5 - Operational Risk
  • Day 6 - Operational Risk
  • Day 7 - Risk Management and Investment Management
  • Day 8 - Risk Management and Investment Management
  • Day 9 - Current Issues in Financial Markets
  • Day 10 - Current Issues in Financial Markets
  • Day 11 - Mock Test I
  • Day 12 - Mock Test II

About FRM Faculty

Sanjoy Choudhury

  • Financial market professional in the Banking & Financial Services Industry with 20+ years professional experience. Worked as Director at GlobeOp Financial Services, Chief Manager – Risk Analytics at ICICI Bank & Head of Research – Credence Analytics
  • Regular faculty for FRM, ERP Treasury and risk management training courses globally and speaks at various international conferences on treasury and risk management
  • Multi-skilled OTC Derivatives & Market Risk professional with extensive knowledge and experience of Pricing, Valuation, Financial Derivatives Modelling, Hedging & Risk of Interest Rate, FX, Equity & Credit Derivatives including financial research, analysis and training