Program Title |
Number of Recommended CPE credits |
Field(s) of Study |
Application and practice of pension accounting |
5.0 |
Accounting |
Corporate governance |
3.0 |
Business Mgmnt and Org |
|
1.0 |
Auditing |
|
1.0 |
Business Law |
Cost accounting |
4.0 |
Business Mgmnt and Org |
|
1.0 |
Accounting |
Capital management |
1.0 |
Accounting |
|
1.0 |
Finance |
|
3.0 |
Business Mgmnt and Org |
Performance management |
2.0 |
Accounting |
|
3.0 |
Business Mgmnt and Org |
Application of IT in accounting |
2.0 |
Computer Science |
|
2.0 |
Accounting |
|
1.0 |
Business Mgmnt and Org |
Risk management |
2.0 |
Economics |
|
3.0 |
Finance |
Economics |
5.0 |
Economics |
Working capital management |
1.0 |
Finance |
|
3.0 |
Business Mgmnt and Org |
|
1.0 |
Accounting |
Application of IT in internal control |
2.0 |
Computer Science |
|
2.0 |
Auditing |
|
1.0 |
Business Mgmnt and Org |
Difference in IFRS and GAAP |
5.0 |
Accounting |
FRM (Financial Risk Manager)——金融风险管理师,是全球金融风险管理领域的一种资格认证,由美国“全球风险协会”(GARP)设立。
GARP是一个拥有来自超过195个国家的15万名会员的世界******的金融协会组织之一,主要分别服务于5000多家银行、证券公司、学术机构、政府管理机构、资产管理机构、保险公司及非金融性公司等。其主要职能是通过信息交换,实施教育计划,提高金融风险管理领域的标准。
近10年来,随着金融工程学、金融计量经济学和计算金融等金融前沿学科的快速发展,金融风险管理技术等到了前所未有的重视,FRM考试也因此迅速地发展,并已经得到华尔街和众多欧美著名金融机构、大型公司风险管理部门以及各国政府监管层和金融监管部门的认同,并已经成为全世界金融风险管理领域最权威的认证。