FRM Course in
Master global financial risk with structured FRM training that combines live classes, self-paced content and intensive practice to help you clear both exam parts with confidence.
4.6/5
based on 170+ learner reviews
50,000+
across India & GCC
200+
global & regional employers
Next cohort
Starting within the next 7–10 days
Limited seats to ensure personalised attention and 1:1 doubt support.
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Course Overview
Online FRM Course for Global Risk Management Careers
Our FRM Course is designed for finance professionals and graduates who want to build practical expertise in financial risk management and earn the globally recognised FRM designation from GARP, USA.
By the end of this course, you will be able to
- Understand, identify and quantify key financial risks across market, credit, operational, liquidity and enterprise risk domains.
- Prepare comprehensively for FRM Part I and Part II exams with a structured, exam-focused learning plan.
- Apply risk concepts, models and regulations to real-world roles in banks, asset managers, insurers, corporates and consulting firms.
Course Snapshot
- Mode: Live Online, Self-Paced Videos and In-house Corporate Training
- Level: Intermediate to Advanced
- Ideal for: Risk, treasury, quantitative, audit and finance professionals, as well as graduates targeting risk roles
- Certification Body: Global Association of Risk Professionals (GARP), USA
Upcoming Batches
Weekday evening batch
Fast-track / Exam crash batch
Why take this course
How FRM Course Accelerates Your Career
This FRM Course connects rigorous exam preparation with real-world risk management skills so you can upgrade your profile and move into high-impact risk roles.
Career impact
Move into high-growth roles
Position yourself for roles like Risk Analyst, Risk Manager, Credit or Market Risk Specialist and Treasury or Liquidity Risk Manager in global financial institutions.
- Directly aligned to FRM Part I and Part II domains.
- Stronger CV signalling with a globally recognised risk credential.
Practical learning
Learn by doing, not just listening
Work through case-based discussions, exam-style questions, mock exams and revision sessions to build confidence for both the job and the exam.
- Realistic risk management scenarios and applications.
- 700+ practice questions and focused mock exams.
Support
Guidance at every step
Get trainer interaction, doubt-clearing support, Pass Promise assistance and help with GARP registration from enrolment to exam day.
- FRM-certified trainers with 10+ years of experience.
- Cloud LMS with recordings, slides and updates.
Hands-on tools
Tools & Platforms You Will Work With
Develop fluency with quantitative tools, risk frameworks and analytical platforms commonly used by FRM professionals.
Core
Projects
Reporting
Analytics
Optional
The focus is on applying FRM concepts through quantitative methods, risk models and regulatory frameworks rather than on a single software tool.
Is this for you?
Who Should Take This Course
This FRM Course is ideal if you fit any of these roles or aspirations.
- Risk Analysts and Risk Managers in banks, NBFCs, fintechs and corporates.
- Credit Risk, Market Risk and Operational Risk specialists.
- Treasury, ALM and Liquidity Risk professionals.
- Portfolio Managers and Investment Analysts.
- Quantitative Analysts and Risk Modelers.
- Internal Auditors and Compliance or Regulatory Risk professionals.
- Finance and Accounting professionals such as CA, CPA, CMA, MBA Finance or CFA looking to move into risk management.
- Graduates and postgraduates in Finance, Economics, Statistics, Engineering or related fields aiming for risk careers.
- Professionals targeting consulting firms, rating agencies, hedge funds or asset management companies in risk-focused roles.
Eligibility & prerequisites
FRM exams have no formal educational prerequisites, but some quantitative and finance background helps you get more value from the course.
- Educational background: No mandatory degree requirement from GARP; basic familiarity with finance, statistics and mathematics is recommended.
- Work experience: No experience required to sit the exams; two years of relevant full-time experience are needed to obtain the FRM certification.
- Exam body rules: You must pass FRM Part I and Part II and then submit qualifying work experience to GARP to be awarded the FRM designation.
Contact us for a free profile assessment and personalised FRM study plan based on your background and target exam window.
Career outcomes
Where This Course Can Take You
Use your FRM preparation and certification to move into specialised risk roles across global banking, investment and corporate finance.
Typical job roles
- Risk Analyst
- Risk Manager or Senior Risk Manager
- Enterprise Risk Manager or Risk Quantification Manager
- Credit Risk Specialist or Market Risk Specialist
- Operational or Regulatory Risk Analyst
- Portfolio Manager or Senior Portfolio Manager
- Treasury and Liquidity Risk Manager
- Vice President – Risk or Finance
- Risk Consultant in banks, Big 4 and consulting firms
Industries hiring our learners
- Global and regional banks and NBFCs
- Asset management firms, hedge funds and wealth managers
- Insurance companies and re-insurers
- Rating agencies, consulting firms and Big 4 advisory
- FinTechs, corporates and regulatory bodies
Salary snapshot
Professionals with FRM Course preparation and FRM certification globally typically start from:
USD 55,000–70,000 per year for junior roles
Higher with mid to senior experienceMid-level roles can reach USD 90,000–120,000+ and senior roles USD 130,000–150,000+ annually
Disclaimer: Salary ranges are indicative global benchmarks and vary by country, employer, prior experience and market conditions.
Curriculum
What You’ll Learn in FRM Course
Comprehensive coverage of FRM Course topics and exam domains.
FRM Part I – Foundations & Quantitative Analysis
Typical duration: 40–50 hours
+
- Foundations of Risk Management (20% exam weight)
- Core concepts of risk management
- Principles and practices used in financial institutions
- Role of risk managers and risk governance
- Foundations of risk measurement and control
- Quantitative Analysis (20% exam weight)
- Basic probability and statistics for risk management
- Quantitative tools for modeling risk
- Data analysis techniques used in risk measurement
FRM Part I – Financial Markets, Products & Valuation
Typical duration: 40–50 hours
+
- Financial Markets and Products (30% exam weight)
- Structure and functioning of financial markets
- Key financial instruments and products
- Derivatives and their use in risk management
- Valuation and Risk Models (30% exam weight)
- Valuation of financial instruments
- Risk modeling methodologies
- Application of valuation and risk models in practice
FRM Part II – Advanced Risk Measurement
Typical duration: 35–45 hours
+
- Market Risk Measurement and Management (20% exam weight)
- Techniques for measuring market risk
- Tools and frameworks for managing market risk
- Credit Risk Measurement and Management (20% exam weight)
- Measurement of credit risk
- Credit risk models and portfolio credit risk
- Managing credit exposures
- Operational Risk and Resiliency (20% exam weight)
- Types and sources of operational risk
- Operational risk measurement
- Risk controls, resiliency and business continuity
FRM Part II – Liquidity, Investment & Current Issues
Typical duration: 35–45 hours
+
- Liquidity and Treasury Risk Measurement and Management (15% exam weight)
- Liquidity risk drivers and indicators
- Treasury and funding risk management
- Liquidity risk measurement tools
- Risk Management and Investment Management (15% exam weight)
- Integrating risk management within investment management
- Portfolio risk measurement and control
- Current Issues in Financial Markets (10% exam weight)
- Emerging topics and evolving practices in financial markets
- Recent crises, regulatory changes and their impact on risk management
Exam Preparation & Support
Typical duration: 20–25 hours
+
- Topic-wise practice questions for each FRM Part I and Part II section
- 700+ practice questions with additional questions via LMS updates
- 1,000+ Exam Success Slides for quick revision
- Mock exams simulating real FRM exam conditions
- Revision classes before each exam window
- Exam strategy sessions focused on time management, question selection and common pitfalls
This curriculum follows the official FRM Part I and Part II structure, combining domain coverage with exam preparation support.
Learning outcomes by module
- Module 1 builds your foundation in risk concepts and quantitative methods.
- Module 2 strengthens your understanding of financial markets, products, valuation and risk models.
- Module 3 deepens your skills in market, credit and operational risk measurement and management.
- Module 4 connects liquidity, treasury, investment risk and current market issues.
- Module 5 consolidates learning through practice questions, mocks and revision support.
Download full syllabus
Get the complete, updated FRM Course syllabus with module-wise topics, exam weightage and recommended study plan.
Hands-on learning
Real Projects, Case Studies & Assessments
Apply FRM concepts through exam-style practice, mock exams and case-based discussions to become both exam-ready and job-ready.
Project 1
Market and credit risk case analysis
Work through a structured case where you identify, measure and interpret market and credit risks for a sample portfolio.
- Apply quantitative tools and risk models from the FRM curriculum.
- Translate numerical outputs into risk management decisions.
Project 2
Operational risk and resiliency scenario
Analyse an operational loss and business continuity scenario to recommend controls, resiliency measures and governance improvements.
- Map real-world events to FRM operational risk frameworks.
- Strengthen conceptual clarity using exam-relevant scenarios.
Assessments
Mocks & progress tracking
Attempt topic tests, full-length mock exams and revision tests that mirror the official FRM exam structure.
- Identify strengths and weak areas early using performance reports.
- Use targeted revision sessions to close gaps before exam day.
Free info session
Join Our Next Live Info Session on FRM Course
Meet our FRM trainers, understand the complete FRM Course roadmap, see the LMS in action and get all your questions about the FRM exam answered live.
What you’ll learn in the session
- Is FRM Course right for your current profile and career goals?
- How the live classes, self-paced videos, LMS and mocks work together.
- Exam strategy, pass rates, Pass Promise details and career outcomes.
Learning experience
Flexible Learning Options Built for Working Professionals
Choose from live online, self-paced and in-house corporate formats so you can prepare for the FRM exam without disrupting your work or studies.
Mode of training
Live Online, Self-Paced or In-house
- Interactive live online batches with trainer-led sessions.
- Self-paced video learning via our cloud-based LMS.
- In-house or customised corporate training on request.
Course duration
Around 160+ live hours plus recordings
- 160+ hours of live online FRM training.
- 100–120+ hours of recorded videos for self-paced revision.
- Additional doubt-clearing and revision sessions before each exam window.
Upcoming batches
Choose the schedule that suits you
- Weekend batch for working professionals aligned to next FRM window.
- Weekday evening batch for students and full-time employees.
- Fast-track or crash revision batch closer to the exam date.
Your certification path
How You’ll Become a Certified Risk Management Professional
Follow a clear journey from enrolment and training to attempting the FRM exam and obtaining the FRM designation from GARP.
Connect with our programme advisor to review your background, understand FRM eligibility, choose the right exam window and select a suitable batch.
Attend live instructor-led sessions, watch recorded lectures, participate in discussions and follow the structured study plan via our e-learning portal.
Solve topic-wise questions, take mock exams and join revision classes before you sit for FRM Part I and Part II exams as per your chosen schedule.
After passing both parts and meeting GARP’s work experience requirement, obtain the FRM designation, update your profile and explore new risk management opportunities.
Prefer to learn at your own pace?
Self-Paced Video Course Option
Access structured FRM video lectures and revision content so you can study whenever it suits you, supported by our LMS and faculty.
Self-paced plan typically includes:
- 100–120+ hours of topic-wise recorded FRM sessions.
- Access to reputed international FRM study materials and exam kits.
- 700+ practice questions and mock tests with solutions via LMS.
- 24×7 access to the Delphi Learning Management System (LMS).
- Scheduled doubt-clearing clinics or support with FRM trainers.
Who this plan is ideal for
- Working professionals with unpredictable or long work hours.
- Learners in different time zones who cannot attend live batches comfortably.
- Self-driven candidates who prefer to learn and revise independently.
You can combine the self-paced plan with a shorter live revision or crash batch before your chosen FRM exam window for best results.
Why Edudelphi
Why Professionals Choose Delphi for FRM Course
Combine expert FRM trainers, structured exam preparation, flexible learning formats and career-oriented support in one comprehensive program.
Expert trainers
Certified & industry-experienced faculty
Learn from FRM, CFA, CPA and MBA-qualified professionals with deep experience in financial markets, risk modeling and corporate risk management.
Live & interactive
Instructor-led classes with doubt support
Sessions are interactive, exam-oriented and aligned to GARP’s curriculum, with plenty of time for questions and concept reinforcement.
Smart LMS
Cloud-based e-learning portal
Access recordings, success slides, mock tests and practice questions anytime so you can revise effectively around your schedule.
Flexible schedules
Weekend & weekday batches
Choose from multiple batch timings so you can prepare for FRM while continuing your job or studies.
Exam & career support
Guidance beyond the classroom
Get support with GARP registration, exam scheduling, pass promise conditions, placement assistance and interview preparation for risk roles.
Recognised quality
Strong track record & outcomes
EduDelphi FRM learners have historically achieved strong pass rates and secured roles across leading banks, consulting firms and financial institutions.
Meet your mentors
Learn from Certified, Practicing Professionals
Our FRM faculty includes seasoned risk management professionals with top-tier educational backgrounds and extensive teaching experience.
Sumanth M
B Tech (IIT Madras), MBA (ISB), CFA Charterholder
Strong background in financial markets, quantitative finance and risk modeling with extensive experience training candidates for global finance certifications including FRM.
Shyam Sarrof
CPA (USA), CMA (USA), ACA, ACMA, CS, CFA, ACTM, MBA, B Com (H)
22+ years of advisory, control and risk management experience with deep expertise across corporate finance, risk and consulting roles, bringing strong practical insights to FRM training.
Faculty advantage
Certified & Professional Trainers
Every Delphi FRM instructor combines global certifications with real-world risk management experience and a strong track record of helping learners clear the exams.
- FRM, CFA, CPA and MBA-qualified trainers with industry exposure.
- Exam-oriented teaching that connects theory with current market practice.
- Personalised guidance on study plans, weak areas and career moves.
Learner stories
What Our Learners Say
Hear from professionals who upskilled with us.
“In this age of commercialization, Delphi has been an exception in providing quality education at a very competitive price. I have just concluded FRM level 1 class with them and the experience I had felt so good. The environment is homely and chaos free. All the trainers I came across were qualified and from relevant background with vast knowledge. Support staff were excellent too.”
“The trainers are extremely efficient and ensure understanding of the course material. Overall a very effective and efficient set of people to help you achieve your goals!”
“Delphi is a place where in they teach from the very basics till the concepts are clear enough. They train the students in a very meticulous way. I am a student of FRM here and studies is going smooth and become easy for me by the way of teachings of such capable teachers there. I definitely recommend for one who aspires to get certified in various domains they offer.”
“Great learning Experience, Mr. Prashant is expert in his field and has explained all concepts / topics really well, I have really enjoyed learning here. Thank you very much Delphi.”
“If you want to know the Whole Process of Financial Accounting and Controlling this Course is very useful.”
Learners appreciate the combination of strong faculty, organised curriculum and supportive staff that make FRM preparation smoother and more effective.
Exam & certification
How the FRM Certification Exam Works
Understand the structure of the FRM Part I and Part II exams conducted by GARP so you can plan your preparation and exam attempts effectively.
Exam pattern
- FRM Part I: Computer-Based Testing (CBT) with 100 multiple-choice questions.
- FRM Part I duration: 4-hour exam session with no negative marking.
- FRM Part II: Computer-Based Testing (CBT) with 80 multiple-choice questions.
- FRM Part II duration: 4-hour exam session with no negative marking.
Exam windows & attempts
- Exam windows: Typically offered in May, August and November each year.
- Results are normally published within approximately two months of the exam date.
- You can reattempt exams in future windows as per GARP’s policies if needed.
Certification & recognition
Upon successfully clearing both parts of the exam and meeting the experience requirement, you will be awarded the Financial Risk Manager (FRM) designation from GARP, USA.
- Issued by: Global Association of Risk Professionals (GARP).
- Recognised globally by banks, investment firms, regulators and corporates.
- Experience requirement: Minimum two years of relevant full-time professional experience in finance or risk-related roles.
Please refer to the official GARP website for the latest FRM exam dates, enrollment and exam fees and regulations. Our team will guide you through registration and scheduling.
Fees & inclusions
FRM Course Fees in
Transparent pricing for FRM Course packages in .
What your fee includes
- Complete FRM Course training through live online or self-paced formats.
- Access to our cloud-based LMS with recordings, success slides and study materials.
- Reputed FRM study materials, custom success slides and exam-focused notes.
- 700+ practice questions, mock exams and revision classes before each exam window.
- Doubt-clearing support, exam strategy sessions and guidance on GARP registration.
EMI & instalment options available
For corporate and group enrolments, custom pricing, in-house training and additional discounts may be available.
Get a personalised fee breakup
Share your details and our team will send you the latest FRM Course fee structure, ongoing offers and a clear breakdown of training fees and indicative GARP exam fees.
We’ll also help you plan your FRM Part I and Part II exam timeline and suggest the most cost-effective route to complete your certification.
Compare your options
FRM Course vs Other Certifications
Compare EduDelphi’s FRM Course with pure self-study and general finance degrees to understand which path best matches your risk management career goals.
| Criteria | This Course FRM Course |
Alternative 1 Self-Study Only |
Alternative 2 General Finance Degree |
|---|---|---|---|
| Primary focus | High – fully aligned with FRM Part I and Part II curriculum and exam requirements. | Depends on resources chosen and how closely they follow the FRM syllabus. | Broad finance curriculum; FRM domains are not specifically covered in depth. |
| Best suited for | Professionals and graduates who want a clear FRM exam plan plus practical risk skills. | Highly self-motivated learners comfortable designing their own FRM plan. | Learners seeking generic finance knowledge or university credentials. |
| Exam structure | Training structured around official FRM exam pattern, weightages and timelines. | May or may not mirror exam structure depending on chosen materials. | University exams by semester; no direct mapping to FRM exam. |
| Time to complete | Typically aligned to one or two FRM exam windows depending on your plan. | Varies widely based on self-discipline and resource selection. | Often 2–3 years for full degree programs. |
| Career outcomes | Strong fit for roles in risk analysis, risk management, treasury, and quantitative risk across financial institutions. | Potentially similar outcomes if you clear FRM, but with less guided preparation support. | Broad business exposure with less specialised risk management positioning. |
This comparison is designed to help you choose the most suitable path; our advisors can also recommend how FRM can complement your existing degree.
Not sure if this is the right course for you?
Speak to a Delphi counsellor for a personalised profile evaluation, eligibility check and FRM course roadmap.
We’ll contact you within 24 hours via call / WhatsApp / email. No obligations.
Get course details
Get FRM Course Syllabus, Fees & Upcoming Batches
Share your details below to receive a personalised call from our course advisor. They will help you with eligibility, fees, batches and the best FRM preparation path based on your profile.
What you’ll receive
- Full FRM Course syllabus with module-wise breakdown and exam weightage.
- Detailed fee breakup with any ongoing offers and EMI options.
- Batch options (weekend, weekday, fast-track) that match your timeline.
- Guidance on FRM exam registration, GARP policies and eligibility.
Preferred mode of training
Live online
Hybrid
Self-paced only
Submit your enquiry
Our team will contact you within 24 hours with complete information – no obligation to enrol.
FAQs
Frequently Asked Questions
Common questions about FRM Course eligibility and details.
What is the FRM Course and who awards the FRM certification?
The FRM Course prepares you for the Financial Risk Manager (FRM) certification, which is awarded by the Global Association of Risk Professionals (GARP), USA and validates your expertise in identifying, measuring and managing financial risks.
Who should enroll in your FRM Course?
Our FRM Course is ideal for risk analysts, risk managers, credit and market risk specialists, treasury and liquidity professionals, quantitative analysts, portfolio managers, internal auditors, compliance professionals, finance graduates and anyone looking to build a career in financial risk management.
Are there any eligibility requirements to join the FRM Course?
You can join our FRM Course regardless of your current work experience or educational background, although a basic understanding of finance and quantitative concepts is recommended and GARP does not require specific education or experience to sit for the FRM exams.
What is required to become a Certified FRM?
To become a Certified FRM, you must pass FRM Part I and Part II exams, demonstrate at least two years of relevant full-time professional experience in finance or risk-related roles and maintain an active membership with GARP.
How is your FRM Course delivered?
We offer live online training, self-paced video courses via our e-learning portal and in-house live training for corporates or one-to-one sessions, all supported by our cloud LMS.
Do you provide session recordings for FRM classes?
Yes, we provide access to class recordings through our e-learning portal so you can revise concepts, catch up on missed topics and study at your own pace in addition to attending live sessions.
How many hours do I need to study for the FRM exam?
Candidates should generally plan for around 250–300 hours of total study for each part of the FRM exam, including training sessions and self-study, and we help you structure this time with topic-wise schedules and revision plans.
What is the exam pattern for FRM Part I and Part II?
FRM Part I consists of 100 multiple-choice questions in a 4-hour computer-based exam focusing on foundations, quantitative analysis, financial markets and valuation, while FRM Part II consists of 80 multiple-choice questions in a 4-hour computer-based exam focusing on applied market, credit, operational, liquidity and investment risk.
When are the FRM exams conducted?
FRM exams are typically offered multiple times a year, commonly in May, August and November, and we align our training batches to these windows so you finish the syllabus and revision before your chosen exam date.
What study materials do you provide for the FRM Course?
We provide internationally reputed study materials, original books, detailed lectures, more than 1,000 exam success slides, over 700 practice questions via LMS, mock exams, revision sessions and success notes with guidance before the exam.
Do you help with FRM exam registration and GARP-related formalities?
Yes, we guide you through the complete FRM registration process including GARP enrollment, exam selection, scheduling and understanding policies so you can focus on your preparation.
Is placement assistance available after completing the FRM Course?
We offer placement assistance and career guidance by helping you position your FRM preparation and certification on your CV, prepare for interviews and connect you with opportunities wherever possible.
What is your FRM pass rate?
Our FRM students have historically achieved strong results, with an average pass rate in the approximate range of 70–85 percent supported by structured teaching, practice exams and focused revision classes.
What is the “Pass Promise” in your FRM Course?
We offer a pass promise where, if you complete our FRM training and are unsuccessful in the exam, you can attend the next batch again without paying the training fee subject to applicable terms and conditions.
Do you offer EMI or installment options for FRM Course fees?
Yes, we provide flexible payment options and EMIs for eligible students and our course advisors will help you choose a plan that fits your budget and schedule.
Will this FRM Course help me get a job in risk management?
The course is designed to make you job-ready by building strong risk management skills and preparing you for a globally recognised credential, which combined with our placement assistance can significantly strengthen your profile for risk roles.
How is your FRM Course different from self-study?
With us you get structured guidance, expert trainers, live doubt-clearing, curated materials, mock exams and revision classes, which reduces trial and error, saves time and improves your chances of success compared to unstructured self-study.
Can I take FRM Part I and Part II in the same exam cycle?
GARP allows certain combinations depending on the exam window and we help you understand the current rules and recommend a strategy, usually completing Part I first and then Part II, based on your background and timeline.
What is the difference between FRM and CFA?
FRM focuses specifically on risk management covering market, credit, operational, liquidity and investment risk, while CFA has a broader investment and portfolio management focus with less depth in risk, and many professionals pursue both to complement each other.
How do I get started with the FRM Course at EduDelphi?
You can fill out the inquiry form on this page, contact us via WhatsApp or call and our counsellor will reach out within 24 hours to assess your profile, suggest the right batch and format, share syllabus and fee options and guide you through registration so you can start preparing immediately.
Ready to Start Your FRM Course Journey?
Take the first step towards a globally recognised FRM credential and a stronger career in financial risk management.
We’ll send you syllabus, fees, batch schedules and answer any questions you have.





















