The FRMB qualification will provide you with a critical evaluation of how financial markets, credit
and liquidity risk are managed by banks within the current economic and regulatory environment.
Aimed at managers or those moving into more senior roles, FRMB takes a practical approach to
studying to ensure that you develop a strong understanding of finance risk management. The
course uses a wide range of data and real-life case studies to help demostrate the practical issues
and considerations for a modern banking industry. You will learn how to identify measure and
manage a wide variety of risks and gain an understanding of how banks interact with financial
markets and utilise best practice techniques. This qualification is made up of one Unit and
assessed through a single written exam.
Awarding Body: The London Institute of Banking & Finance
Assessment: A single written exam
Available: Two study sessions per year in May & November