FRM Course Coaching in Gurgaon
87,000+ Risk Leaders: Strategic Impact, Global Insights, Practical Expertise.
- Join a global network of risk professionals, backed by GARP’s rigorous standards
- FRM Part I & Part II Coaching with 100% Placement Support
- 350 + Hours of HD Video Content with explanatory notes for FRM 1 & 2
- 3,000+ practice questions and essential formula summaries
- Adaptive exam planner with mock tests
- Highly active Discussion Forum for doubt solving
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Where Our Students Work
The top choice for ambitious students, professionals, and leading organizations.
Conquer Risks, Shape Tomorrow with FRM
Program Highlights
Career in Risk Management
In-Depth Learning
Skill Enhancement
Professional Growth
Accredited Certification
Applied Risk Learning
20+
Other Benefits
Leading the Way in Practical Financial Education
As on 30th June 2024
We're Widely
Accredited
Hargun Singh
CFA and FRM
Know your Mentor
- Chartered Financial Analyst (CFA) & Financial Risk Manager (FRM)
- 7+ Year of experience in Investment Banking - Ex Edelweiss, Ex ICICI Securities and currently working with one of the Big 4s
- Worked on 25+ transactions across sectors and products such as IPOs, QIPs, Rights Issue, FPO & M&A
- Has taught over 250+ students for FRM and Financial Modelling & Valuations
Discover How We Efficiently Cover Every Detail?
Comprehensive, concept-driven, and industry-focused curriculum with a deep emphasis on risk management.
FRM Classses in Gurgaon Curriculum
Foundations of Risk Management:
- Introduction to risk management concepts.
- Risk management frameworks and governance.
- Role of risk management in financial firms.
Quantitative Analysis:
- Probability theory and statistics.
- Regression analysis and time series.
- Hypothesis testing and distribution models.
- Monte Carlo simulation.
Financial Markets and Products:
- Structure and functions of financial markets.
- Valuation and characteristics of various financial instruments (bonds, stocks, derivatives).
- Understanding futures, options, swaps, and other derivatives.
- Hedging techniques and strategies.
Valuation and Risk Models:
- Fundamentals of valuation and risk models.
- Binomial and Black-Scholes option pricing models.
- Value at Risk (VaR) and stress testing.
- Credit risk modeling and fixed-income risk analysis.
Market Risk Measurement and Management:
- Advanced approaches to measuring and managing market risk.
- Delta-normal and historical simulation approaches.
- Backtesting and risk attribution.
Credit Risk Measurement and Management:
- Credit risk modeling techniques and their application.
- Structural models, reduced-form models, and credit scoring.
- Managing credit exposures in trading books and loan portfolios.
Operational Risk and Resiliency:
- Types of operational risks and their sources.
- Operational risk frameworks and management techniques.
- Business continuity planning and crisis management.
Liquidity and Treasury Risk Measurement and Management:
- Liquidity risk measurement tools and techniques.
- Funding liquidity risk vs. market liquidity risk.
- Managing liquidity in banks and financial institutions.
Risk Management and Investment Management:
- Integrating risk management with investment strategies.
- Risk-adjusted return measures (Sharpe Ratio, RAROC).
- Hedge fund risk management and active portfolio management.
Current Issues in Financial Markets:
- Emerging risks and trends in the financial markets.
- Impact of regulatory changes and technological advancements.
- Case studies on recent financial crises and risk management failures.
Benefits Of Joining FRM training With TWSS
Industry-Leading Experts and Seasoned Faculty
Comprehensive Curriculum
Real-World Case Studies and Practical Exercises
Advanced Tools and Techniques
Placement Support
Industry Recognition
1 - 1 Doubt Sessions
Tailored Mentorship
FRM® Coaching Gurgaon Overview
FRM® course is a globally recognized professional certification for banking and finance professionals administered by Global Association of Risk Professionals® (GARP®, USA).The Wall Street School’ FRM® course training enables candidates to build a strong conceptual clarity that helps them excel in the area of and Risk Management, Portfolio Management and Finance
Financial Risk Managers hold the expertise and are committed to better risk management practices, thus standing apart in their respective organizations. GARP® provides the FRM® course in 195 countries and territories and has over 279,000 Members. GARP® offers Continuing Professional Development (CPD) program for risk professionals to access the latest updates in risk education
Global Reach: Over 87,000 FRM-certified professionals worldwide.
Two Exam Parts:
- Part 1: Covers the foundational elements of risk management, including quantitative analysis, financial markets, valuation, and risk management tools.
- Part 2: Focuses on the application of risk management practices in areas such as market risk, credit risk, operational risk, and risk management in investment management.
Passing Rate: The average global pass rate is approximately 45% for Part 1 and 50% for Part 2.
Program Duration: Typically takes 1-2 years to complete, depending on study time and passing both exams.
Curriculum Updates: Regularly updated to reflect the latest industry practices, regulatory changes, and emerging risks, ensuring relevance in today’s dynamic financial landscape.
Candidate Requirement: Requires two years of full-time professional work experience in financial risk management or a related field to become certified.
Annual Enrollment: Thousands of candidates globally register for the FRM exams each year, joining a rapidly growing network of risk management professionals.
FRM (Financial Risk Manager)
Scope: Comprehensive certification focused on risk management across various financial domains, including market, credit, operational, and investment risks.
Curriculum: Divided into two parts:
- Part 1: Foundational risk management tools, quantitative analysis, financial markets, and valuation techniques.
- Part 2: Advanced application of risk management practices, including market, credit, and operational risks, and risk management in investment management.
Focus: Practical application of risk management principles with a strong emphasis on real-world scenarios and evolving regulatory environments.
Recognition: Globally recognized and highly valued by top employers in the financial industry, particularly for roles requiring deep expertise in risk management.
Career Path: Ideal for roles in risk management, risk consulting, financial analysis, and regulatory compliance.
Requirements: Requires two years of professional experience in risk management or a related field to achieve certification, in addition to passing two levels of exams.
PRM (Professional Risk Manager)
Scope: Certification focused on risk management, emphasizing quantitative risk measurement and modeling techniques.
Curriculum: Composed of four exams:
- Exam 1: Foundations of Risk Management.
- Exam 2: Quantitative Analysis.
- Exam 3: Financial Instruments.
- Exam 4: Case Studies, Standards, Governance, and Ethics.
Focus: Strong emphasis on quantitative risk analysis and theoretical understanding, with a specific focus on risk measurement and control.
Recognition: Recognized globally but often seen as more niche, particularly within roles that require specialized quantitative skills.
Career Path: Suitable for roles in risk analysis, quantitative risk modeling, and financial risk management, particularly in technical and quantitative environments.
Requirements: Requires passing four exams and demonstrating two years of professional experience in risk management or a related field.
Global Recognition: Over 87,000 FRM-certified professionals in more than 160 countries, recognized as leaders in financial risk management.
Rigorous Curriculum: Divided into two parts, covering essential risk management topics, from quantitative analysis to advanced risk management practices, with global pass rates of approximately 45% for Part 1 and 50% for Part 2.
Career Advancement: Enhances career opportunities in risk management, financial analysis, regulatory compliance, and consulting across various industries.
Industry-Relevant Standards: Emphasizes practical, real-world risk management applications, aligned with the latest industry standards and evolving regulatory requirements.
High Demand: Highly regarded by top financial institutions, regulators, and global firms as the benchmark for risk management professionals.
Professional Growth: Requires two years of relevant work experience, ensuring that certified professionals possess both theoretical knowledge and practical expertise.
Program Duration: Typically 1-2 years to complete, offering flexible study options that accommodate working professionals.
Annual Enrollment: Thousands of candidates worldwide register for the FRM exams each year, reflecting its growing importance and demand in the global financial industry.
Comprehensive Coverage: The FRM program is divided into two parts, offering in-depth coverage of risk management, including market, credit, operational, and liquidity risks.
High Success Rates: Our students achieve strong pass rates thanks to a well-structured curriculum, expert guidance, and thorough preparation.
Experienced Faculty: Learn from FRM-certified professionals and seasoned industry experts who bring real-world insights and practical knowledge to the classroom.
Updated Curriculum: Regularly refreshed to include the latest industry trends, regulatory changes, and emerging risk management techniques.
Practical Training: Emphasis on practical application through real-world case studies, simulations, and risk management tools.
Global Recognition: The FRM certification is globally recognized and respected, significantly enhancing career prospects in the field of financial risk management.
Flexible Learning: Offers a range of learning options, including live classes, hybrid formats, and pre-recorded sessions to accommodate various learning preferences.
Professional Networking: Access to a global network of risk management professionals and alumni, providing valuable connections and career support opportunities.
Educational Requirements:
- Part 1: No specific educational prerequisites; however, a strong foundation in finance, mathematics, or economics is beneficial.
- Part 2: Successful completion of FRM Part 1 is required to register for Part 2.
Professional Experience:
- Work Experience: While no prior work experience is required to sit for the exams, two years of full-time professional work experience in financial risk management or a related field is needed to become certified as an FRM.
Exams:
- Part 1: Open to anyone with an interest in risk management; no prior finance certification required.
- Part 2: Must successfully complete FRM Part 1 before attempting Part 2.
Ethical Standards:
- Commitment: Candidates must agree to adhere to GARP’s Code of Conduct, which emphasizes ethical behavior and professional integrity.
Financial Resources:
- Program Fees: Ability to pay the registration and exam fees for both Part 1 and Part 2.
Language Proficiency:
- English: Proficiency in English is required as all exam materials and communications are in English.
- Risk Manager: Manage and mitigate various types of financial risks (credit, market, operational) within financial institutions.
- Credit Risk Analyst: Evaluate and manage the creditworthiness of borrowers to minimize credit risk for banks and financial institutions.
- Market Risk Analyst: Analyze and manage risks associated with market fluctuations, including interest rates, currencies, and commodities.
- Operational Risk Manager: Identify and mitigate risks arising from internal processes, systems, and external events within an organization.
- Regulatory Risk Analyst: Ensure compliance with financial regulations and assess the impact of regulatory changes on risk management practices.
- Investment Risk Manager: Oversee risk management strategies for investment portfolios, balancing risk and return to optimize performance.
- Quantitative Risk Analyst: Use mathematical models and quantitative techniques to measure, predict, and manage financial risks.
- Treasury Risk Manager: Manage liquidity, funding, and financial risk within a corporation’s treasury function.
- Risk Consultant: Provide expert advice on risk management strategies and practices to financial institutions and businesses.
- Audit and Compliance Manager: Conduct audits and ensure that risk management practices align with regulatory standards and internal policies.
High Pass Rates: Benefit from our proven preparation strategies that have helped students achieve pass rates significantly above the global average, with over 80% of our students passing both FRM Part 1 and Part 2.
Experienced Faculty: Learn from our team of FRM-certified professionals and industry experts with over 20+ years of combined experience in risk management.
Comprehensive Curriculum: Our program covers all key areas of the FRM exam with 180+ hours of detailed video content, including the latest updates in risk management practices, regulatory changes, and emerging trends.
Practical Focus: Engage in hands-on learning through 30+ real-world case studies, simulations, and practical exercises designed to prepare you for the challenges faced by risk management professionals.
Flexible Learning Options: Access our training through live classes, hybrid formats, and over 200+ hours of pre-recorded sessions, allowing you to study at your own pace and convenience.
Global Recognition: Our FRM training program is aligned with the globally recognized standards set by GARP, enhancing your credentials and career prospects.
Career Support: Leverage our strong network of over 10,000+ risk management professionals and alumni for career guidance, job placements, and industry connections.
Proven Track Record: Join the ranks of over 46,693 students who have successfully trained with The WallStreet School, with a large number advancing their careers in top financial institutions.
Updated Content: Stay ahead with our regularly updated curriculum, reflecting the latest developments in the financial risk management industry.
- High Pass Rates: Benefit from our proven preparation strategies that have helped students achieve pass rates significantly above the global average, with over 80% of our students passing both FRM Part 1 and Part 2.
- Experienced Faculty: Learn from our team of FRM-certified professionals and industry experts with over 20+ years of combined experience in risk management.
- Comprehensive Curriculum: Our program covers all key areas of the FRM exam with 180+ hours of detailed video content, including the latest updates in risk management practices, regulatory changes, and emerging trends.
- Practical Focus: Engage in hands-on learning through 30+ real-world case studies, simulations, and practical exercises designed to prepare you for the challenges faced by risk management professionals.
- Flexible Learning Options: Access our training through live classes, hybrid formats, and over 200+ hours of pre-recorded sessions, allowing you to study at your own pace and convenience.
- Global Recognition: Our FRM training program is aligned with the globally recognized standards set by GARP, enhancing your credentials and career prospects.
- Career Support: Leverage our strong network of over 10,000+ risk management professionals and alumni for career guidance, job placements, and industry connections.
- Proven Track Record: Join the ranks of over 46,693 students who have successfully trained with The WallStreet School, with a large number advancing their careers in top financial institutions.
- Updated Content: Stay ahead with our regularly updated curriculum, reflecting the latest developments in the financial risk management industry.
The Wallstreet School's Placement Assistance Services
Career Guidance and Counselling
Comprehensive Assistance for Success
Placement Assistance: The Wall Street School provides dedicated placement assistance to all FRM candidates.
Assessment Completion: Candidates are eligible for placement support upon successful completion of the program assessments.
Success-Based Model: The Wall Street School operates on a results-driven, success-based model.
Placement Success Fee: A placement success fee of Rs. 50,000 is charged only after a candidate secures and accepts a job offer facilitated by The Wall Street School.
We have successfully placed over 10,740 students since 2009!
With over 10,740 students successfully placed in finance and accounting roles across various sectors, our strategic expertise and industry connections deliver exceptional outcomes for graduates.
Celebrating FRM Achievers
We are immensely proud of our FRM achievers, honoring their hard work and commitment. We celebrate every milestone, recognizing the successful completion of each FRM part as a crucial step toward their ultimate success in earning the prestigious FRM designation.
Hear from our students
Explore firsthand accounts of student experiences. Hear their stories, triumphs, and insights that make our community exceptional. Real voices, real impact.
I want to thank you for all the guidance you have given me, it is with your guidance that today i see my result as passed, i am very happy, god bless you with immense happiness, you are truly a big brother
Sir i wanted to tell you one thing, but didnt have that courage to tell you on call. Thanks sir but you have created a deep impact in my life. Before i joined classes, i was a social media addict, but after listening to you, and those lessons that you are a product when you are using social media. That day and this day. I have not installed instagram since then. And tbh, this feels very amazing, as now rather than wasting time on social media, i have started focusing on myself more. Thanks sir for always creating an impact on so many lives of the students.
It is because of you that I was able to stand up again and prepare for my exams. Thank you for treating your students like your own children. The way you stand behind us like a rock is something only a kind person like you can do. A simple thank you is not enough, but I am truly blessed to have you as my guru.
sir, l've finally cleared Level 2 on my 2nd attempt. Absolutely wouldn't have been possible without your continuous help and guidance. I'm at a loss of words of how grateful I am to you and all of the videos on the portal and your mini anecdotes throughout the lessons which kept me disciplined and motivated. Thank you so much sir. I had been at a very low point in my life after I couldn't clear L2 in August 2023 and this was the confidence boost I needed.
I believe if one wants to develop a career in finance through CFA or any other relevant course, The Wall-Street School provides the best platform for the same. Talking about the teaching style and all, I would like to emphasize about the Karan Singh Sir, with the approach he teaches and his experience of more than a decade in this field, it becomes very much helpful for us to make our way through the courses like CFA, FRM, etc.
I have been associated with The Wallstreet School for the Financial Modelling and Valuations Program, as well as for CFA Level 1, and currently attending CFA Level 2 classes. The program has been exceptional, providing practical and skill-based learning of various valuation techniques and models. The team's dedication to holistic education is remarkable, and the faculty, especially Himanshu sir, Manoj sir, Vikas sir and Karan Singh sir are excellent mentors. Overall, I highly recommend TWSS to anyone looking for a quality education in finance.
I attended the investment banking course and later CFA Level 1 coaching from the institute. My overall experience is quite good as I got to learn the practical part of the finance as well as theoretical in very lucid way. Teachers are highly qualified , calm , composed and always available to take one to one doubt sessions of the students. More focus is given on weak students to get them along with the rest. It would be a value for money investment for one who wants to gain the learn the applied part of the concepts rather than self-mugging up.
FRM Course in Gurgaon Fees and Admissions
The FRM program is open to all candidates seeking to deepen their expertise in financial risk management, including areas such as market risk, credit risk, operational risk, and liquidity risk. We celebrate each part of the FRM journey, recognizing the successful completion of each stage with acknowledgment from The Wall Street School. Upon passing both parts of the FRM exam and completing the required work experience, candidates become eligible for placement assistance from our dedicated team.
FRM Part I
Classroom / Live Online- FRM Part 1 classes with unlimited mock exams, an extensive question bank, and personalized doubt-solving sessions.
- Duration – 4 Months Hours – 120+ Hours Time – Sat-Sun
FRM Part II
Classroom / Live Online- FRM Part 2 classes with unlimited mock exams, an extensive question bank, and personalized doubt-solving sessions.
- Duration – Video Validity till your Exam Attempt Hours – 120+ hours of Digital Content for each Part Time – Accessible anytime
FAQ's
Financial Risk Management