Financial Risk and
Regulation (FRR™)

A detailed look at the key areas of financial risk

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Four textbooks

Market Risk Management, Credit Risk Management, Operational Risk Management, Asset and Liability Management

Learn the essential methods of identifying, assessing, and mitigating risks.

Be prepared for financial risks in the workplace with this self-study course that illustrates how financial risk impacts assets, institutions and systems, and the global financial infrastructure. The course includes four modules that provide a comprehensive understanding of credit risk, market risk, operational risk, and asset and liability management. After completion, you can sit for the formal exam proctored by Pearson VUE, and earn your official GARP Risk and Regulation certificate.

FRR™ Course benefits

Flexibility

The self-study format allows you to learn on your own schedule

Practicality

Real-world examples and case studies illustrate how the course pertains directly to situations in the workplace

Global applicability

The course was developed by risk practitioners to reflect the current international standards

Authority

Candidates who successfully complete the course will earn an official GARP-issued certificate

What’s included

Enrollment includes nine months of access to an eLearning platform

  • Ebook

  • Quizzes

  • Key concept analysis

  • Case studies

  • Downloadable study guide

This course also includes

  • Exam proctored by Pearson VUE
  • Formal certificate of completion

Course pricing

USD 399

Non-member

USD 300

Member

Team registration

Educate multiple employees in your organization.

Frequently Asked Questions

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