Financial Risk Manager FRM FRM Part I | FRM Part II

The Financial Risk Manager (FRM) designation, awarded by the Global Association of Risk Professionals (GARP), is a globally respected certification for professionals specializing in risk management. Recognized across banking, asset management, consulting, and regulatory sectors, the FRM credential signifies a strong understanding of risk analysis, control, and mitigation.

Financial Risk Manager FRM FRM Part I | FRM Part II

Sanjay Saraf is a renowned educator and financial expert specializing in courses like FRM (Financial Risk Manager), CFA, and CA Final SFM. He holds multiple prestigious qualifications including FRM, CFA, CMT, CIIA, and MS in Finance from ICFAI. With over 20 years of teaching experience, Sanjay Saraf is widely respected for his deep conceptual clarity and practical approach to complex financial topics such as risk management, quantitative analysis, and financial markets.