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Job opportunities after getting GARP 2016-FRR Certification
Once you have obtained the certification, there are various jobs available to you like Risks Management Specialist, Management Expert, Analyst, Consultant, or Manager. You can choose to work in an investment bank or a consultancy. 2016-FRR exam dumps are key to your success. You should be aware that the investment banking industry is extremely competitive, so you need to be very well-qualified for this job if you are interested in it. The management sector also has very high competitive pressures. This means that only the best managers will be able to secure this job because of their qualifications and experience. Rules can be found online to see who is eligible to take the GARP 2016-FRR Certification. Collection of meta mock tests are available online. You can download them and make your preparation easier.
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The average salary of the GARP 2016-FRR certified
A certified GARP 2016-FRR professional can earn more compared to others, by preparing with the help of 2016-FRR exam dumps. The average salary for a certified GARP 2016-FRR professional is given as follow:
- In the United Kingdom: £55,000 - £75,000.
- In the United States: $80,000 - 130,000.
- In Singapore: S 80,000 - 130,000.
- In India: ₹ 100,000 - 200,000.
- In Australia: AU 110,000 - 155,000.
Reference: https://www.garp.org/courses/financial-risk-and-regulation
Specify Objectives of the GARP 2016-FRR Certification
The main objective of the GARP FRR certification is to verify a candidate's ability to understand and live up to “the standard of knowledge, skill, and behavior” required by corporations for financial management professionals. The purpose of this is to verify a candidate's ability to understand and live up to “the standard of knowledge, skill, and behavior” required by corporations for financial management professionals. The wiki study guide covers the entire GARP FRM syllabus for this certification. 2016-FRR exam dumps help the candidates to prepare for the GARP FRM certification. Free translate the idea from your native language into English, directly from your browser. Configuration of theoretical knowledge and application of financial products and processes. Talking with clients and partners is crucial in the process of obtaining and maintaining a successful occupation.
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GARP 2016-FRR Exam Syllabus Topics:
| Section | Weight | Objectives |
| Emerging Markets | 15% | - Risk Management Challenges
- 1. Governance and infrastructure
- 2. Cross-border risk issues
- Regulatory and Market Practices
- 1. Local regulatory frameworks
- 2. Market development and integration
- Characteristics and Risks
- 1. Unique risk factors
- 2. Economic and political environment
|
| Regulation, Supervision, Reporting and Management | 20% | - Supervision and Compliance
- 1. Regulatory requirements
- 2. Supervisory processes
- 3. Compliance management
- Reporting and Disclosure
- 1. Financial reporting standards
- 2. Risk reporting requirements
- 3. Transparency and disclosure
- Global Regulatory Frameworks
- 1. International standards and guidelines
- 2. Basel Accords
|
| Risk Management | 50% | - Types of Risk
- 1. Operational risk
- 2. Credit risk
- 3. Market risk
- 4. Model risk
- 5. Liquidity risk
- Risk Measurement and Management
- 1. Risk mitigation and control
- 2. Quantitative methods
- 3. Risk modeling and assessment
- Foundations of Risk Management
- 1. Enterprise Risk Management (ERM)
- 2. Risk governance and culture
- 3. Risk concepts and frameworks
|
| Financial Services | 15% | - Financial Institutions and Markets
- 1. Insurance and asset management
- 2. Banking sector
- 3. Capital markets and instruments
- Financial Products and Services
- 1. Derivatives and structured products
- 2. Payment and settlement systems
- 3. Investment products
|