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Earning an FRM certification is an esteemed achievement for finance professionals seeking to distinguish themselves in the field of financial risk management. The certification is widely recognized globally and is known for its rigor and prestige, providing holders with a significant competitive edge over other finance practitioners.
The FRM certification is highly regarded by major banks and firms worldwide, and demonstrates a professional’s ability to anticipate, respond to, and adapt to critical risk issues. The certification is awarded only to professionals who have demonstrated exceptional knowledge and skills in financial risk management, making it a valuable asset for individuals seeking to advance their careers in this field.
With its global recognition and rigorous standards, the FRM certification can open up a range of career prospects and opportunities, allowing finance professionals to stand out in the job market and gain a competitive edge in their careers.
FRM certification and training can help professionals advance their careers by demonstrating expertise and a commitment to ongoing professional development.
The FRM certification is recognized globally as the premier credential for financial risk management professionals, providing holders with worldwide recognition and credibility.
The training and certification program covers a broad range of topics related to financial risk management, including quantitative analysis, financial markets and products, risk management, and investment management, providing a comprehensive understanding of the field.
FRM certification and training provide access to a network of professionals in the field of financial risk management, creating opportunities for collaboration, mentorship, and professional development.
FRM certification and training can increase earning potential by demonstrating expertise and credibility in the field, leading to higher-paying job opportunities.
Director – Governance, Risk and Compliance (GRC), IFRS17, Chartered Accountant – ICAI (India)
Experience - 20+ Years
Partner | Risk Advisory - Chartered Accountant (ICAI - India), Bachelor of Commerce (Hons), India
Experience - 20+ Years
Alok Bishnoi is a senior Risk Advisory professional in UAE for AJMS Global. He has 20+ years on experience in Enterprise Risk Management, Risk Advisory, Corporate Governance, Strategy, Internal Audit, Business Process Re-engineering, Financial Reporting, Budgeting and Finance & Accounts.
He has extensively worked for sectors such as Healthcare, Education, Oil & Gas, Manufacturing, Utilities, Investment, Transportation, Infrastructure, Financial Services, Print and Electronic Media etc. in India, UAE, Qatar, KSA, US, Singapore, Europe and Africa.
Experience
Policies & Procedures: Led various policies and procedure engagements. The key activities involved conducting gap analysis, suggesting remedial solutions, preparation of high level design, drafting policies & procedures and process re-engineering.
Enterprise Risk Management: Alok has led the development of Risk Management framework at various leading organizations.. The work included identifying Risk Landscape, Articulating Risk Appetite, Conducting Risk Assessment, Developing Risk Policy & Procedures, identifying Risk Mitigation plans and Key Risk Indicators.
Corporate Governance : Alok was involved in the Corporate Governance reviews in leading Companies in the Middle East region, including government and listed entities.
Strategy: Alok has worked in past on restructuring of a business conglomerate, development of operating model and corporate restructuring to meet the growth objectives of the organization. He was involved in business planning and strategy formulation exercises for clients in equipment leasing, manufacturing, real estate and private equity sectors.