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The financial engineering certification program is designed to provide students with essential skills that align with the Global Association of Risk Professionals (GARP) and Professional Risk Managers International Association (PRMIA) credentialing standards. Though distinct entities, GARP and PRMIA have emerged as leading authorities in financial engineering and risk management, sharing comparable certification criteria.
The program curriculum prepares participants for either the GARP Financial Risk Manager (FRM) examination or the PRMIA Professional Risk Manager (PRM) assessment. These evaluations cover critical subjects including financial theory, market dynamics, risk measurement techniques, quantitative methods, mathematical risk frameworks, derivative instruments for hedging, risk mitigation strategies, operational and credit risk analysis, practical case studies, as well as ethical standards and governance principles. The certification coursework establishes comprehensive expertise in these domains.