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What is risk control in the financial industry?

Financial risk controller is a kind of qualification certification in the field of global financial risk management, which was developed by GARP.

GARP is one of the largest financial association organizations in the world, with 48,000 FRM holders and more than 65,438+050,000 members from more than 65,438+050 countries, mainly serving more than 7,500 banks, securities companies, academic institutions, government management agencies, asset management agencies, insurance companies and non-financial companies.

The FRM exam begins at 1997 and is held in May and June every year. By the end of 20 17, 2 1 year has been implemented, and more than 48,000 people around the world have obtained FRM certification.

The future development of risk control personnel is generally either specialized in the field of financial risk control or transferred to other aspects of the financial industry, but no matter which future development is good. However, if you want to get better development, you still need to keep learning. FRM Financial Risk Manager is one of them.

Extended data:

China is relatively short of financial risk management talents, especially two types of high-end talents:

First, high-quality applied talents who are familiar with financial business, master financial risk management knowledge, have strong financial risk awareness and risk avoidance management skills, and are proficient in financial risk control practice;

Second, high-level research talents with solid theoretical foundation, strong macro-economic and financial situation analysis ability and risk prediction ability, and able to put forward valuable countermeasures and suggestions when dealing with financial risks.

Baidu Encyclopedia-Financial Risk Manager