FRM Course in Kuwait
Advance your risk management career with our FRM Course in Kuwait, aligned with GARP and focused on helping you clear FRM Part I and Part II with expert mentoring and exam-oriented practice.
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Course Overview
FRM Certification Course in Kuwait – From Fundamentals to Advanced Risk Management
Our FRM Certification Course in Kuwait is designed for finance and risk professionals who want to build globally recognized expertise in financial risk management, from core concepts through advanced applications across market, credit, operational and liquidity risk.
By the end of this course, you will be able to
- Identify, measure and manage key financial risks across portfolios, products and institutions.
- Prepare confidently for and clear the official FRM Part I and FRM Part II examinations with structured guidance.
- Apply FRM tools and concepts in real-world roles such as Risk Analyst, Risk Manager and Portfolio Manager in Kuwait and abroad.
Course Snapshot
- Mode: Self-paced video, Live Online and in-house corporate training (with recordings)
- Level: Intermediate to advanced professional certification
- Ideal for: Finance, risk, treasury, audit, compliance professionals and graduates targeting risk roles
- Certification Body: Global Association of Risk Professionals (GARP), USA
Upcoming Batches
Why take this course
How FRM Course Accelerates Your Career
This FRM Course in Kuwait bridges exam success and on-the-job impact by combining GARP-aligned content, intensive practice and real-world risk management insights.
Career impact
Move into high-growth risk roles
Position yourself for roles like Risk Analyst, Risk Manager and Portfolio Manager in Kuwait, GCC and global financial markets.
- Globally relevant FRM curriculum aligned with GARP.
- Mentoring from CFA®, FRM® and CPA-qualified practitioners.
Practical learning
Learn by solving risk problems
Work through case discussions, 700+ practice questions, mock exams and exam success slides to build both conceptual clarity and exam stamina.
- Real-world style risk scenarios and applications.
- Exam-oriented questions, mocks and revision sessions.
Support
Guidance at every step
Get help with study planning, GARP registration, doubt clearing, and post-course career counselling for risk roles.
- 1:1 doubt clearing and profile assessment support.
- Access to LMS recordings, notes and success slides.
Risk frameworks & concepts
Key Domains & Frameworks You Will Master
Build strong command over core FRM domains including quantitative methods, financial markets, risk models, and market, credit, operational and liquidity risk management.
The FRM curriculum focuses on risk frameworks, quantitative tools and governance standards used globally by banks, asset managers, regulators and corporates.
Is this for you?
Who Should Take This Course
This programme is ideal if you see yourself building a career in financial risk management, treasury or related finance roles.
- Finance professionals working in banks, NBFCs, investment firms and treasury departments.
- Risk analysts and associates in market, credit, operational or enterprise risk.
- Professionals in internal audit, compliance, governance and regulatory reporting.
- Treasury and ALM team members in banks and corporates.
- Portfolio managers, investment analysts and traders seeking strong risk skills.
- Chartered Accountants, CFAs, MBAs and finance graduates wanting to specialize in risk.
- Students and fresh graduates aiming to enter risk management roles in Kuwait or GCC.
- Professionals from IT or analytics working on risk, credit or market-risk projects.
Eligibility & prerequisites
FRM exams have no formal educational prerequisites, but certain foundations will help you get the most from the course.
- Educational background: No mandatory degree requirement to sit for FRM Part I or II, though a finance, economics, statistics or related background is advantageous.
- Work experience: Two years of full-time professional experience in finance or risk-related roles is required by GARP to obtain the FRM certification after passing both parts.
- Exam body rules: You must pass FRM Part I and Part II, maintain active GARP membership and submit acceptable work-experience documentation.
A basic understanding of finance, statistics and quantitative methods is recommended; contact us for a free profile assessment and study-plan guidance.
Career outcomes
Where This Course Can Take You
Use your FRM qualification to access specialized risk and treasury roles in Kuwait, wider GCC and global financial hubs.
Typical job roles
- Risk Analyst / Risk Officer
- Market Risk Specialist
- Credit Risk Specialist / Credit Risk Analyst
- Operational Risk Analyst / Senior Operational Risk Manager
- Regulatory Risk Analyst
- Enterprise Risk Manager
- Risk Quantification Manager
- Portfolio Manager / Sr. Portfolio Manager
- Vice President – Risk / Finance
- Treasury and ALM Risk Professional
Industries hiring our learners
- Banking, Financial Services & FinTech
- Asset & Wealth Management Firms
- Regulators, Rating Agencies & Sovereign Funds
- Consulting, Audit & Big 4 Risk Advisory
- Corporate Treasuries across sectors in Kuwait and GCC
Salary snapshot
Professionals with FRM certification globally typically command premium compensation in specialist risk roles.
Risk Analyst: USD 56,000–65,000 per year; Senior Risk Manager: USD 115,000–150,000+ per year
Higher with experience and advanced leadership roles+ performance bonuses
Disclaimer: Salary ranges are indicative global benchmarks and vary by company, role, location, prior experience and market conditions.
Curriculum
What You’ll Learn in FRM Course
Comprehensive coverage of FRM Course topics and exam domains.
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- Foundations of risk management concepts
- Risk types and sources in financial institutions
- Role of risk management in value creation
- Risk appetite, governance and risk culture
- Lessons from financial crises and failures
- Ethical considerations for risk professionals
+
- Time value of money and discounting
- Probability distributions and random variables
- Estimation and hypothesis testing
- Correlation and regression analysis
- Simulation methods
- Basic optimization and numerical techniques for risk
+
- Structure and functioning of financial markets
- Money markets, bond markets and equity markets
- Derivative instruments: forwards, futures, options, swaps
- Structured products and securitization
- Trading, hedging and arbitrage concepts
- Use of derivatives for risk management
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- Valuation of fixed-income securities and equities
- Term structure of interest rates
- Option pricing basics (e.g., Black-Scholes, binomial models)
- Value at Risk (VaR) concepts and methods
- Backtesting and model validation principles
- Stress testing and scenario analysis
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- Market risk drivers and measurement
- Advanced VaR approaches for market risk
- Risk models for traded instruments and portfolios
- Backtesting and model risk
- Market risk capital requirements
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- Credit exposure and default risk
- Credit scoring and rating systems
- Credit portfolio models
- Credit derivatives and credit risk transfer
- Credit risk mitigation techniques
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- Operational risk categories and drivers
- Measurement approaches (Basic Indicator, Standardized, AMA concepts)
- Risk and control self-assessment (RCSA)
- Business continuity planning and resiliency frameworks
- Cyber, fraud and conduct risk considerations
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- Liquidity risk types and metrics
- Funding and market liquidity risk
- Asset-liability management (ALM)
- Treasury operations and risk control
- Regulatory liquidity ratios and stress testing
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- Risk budgeting and portfolio construction
- Performance measurement and attribution
- Hedge funds, private equity and alternative investments risk
- Integration of risk management in investment process
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- Recent regulatory changes and their impact on risk
- Emerging risks (e.g., climate risk, FinTech, model risk)
- Case studies of recent market events and failures
This curriculum follows the official GARP FRM structure across Part I and Part II, with topic weights highlighted to guide your study focus.
Learning outcomes by module
- Part I builds your foundations in risk concepts, quantitative methods, financial markets and core valuation and risk models.
- Part II focuses on applying these tools to market, credit, operational, liquidity and investment risk management plus current market issues.
- High-weightage areas are reinforced through focused practice questions, mocks and revision sessions.
Download full syllabus
Get the complete, updated FRM Course syllabus with module-wise topics, exam weightage and a recommended study plan for your chosen exam window.
Hands-on learning
Real Projects, Case Studies & Assessments
The FRM Course uses case discussions, practice questions and mock exams to ensure you are both exam-ready and job-ready in risk roles.
Project 1
Risk analysis case study
Example: Analyse the risk profile of a bank or portfolio using market, credit and liquidity risk concepts from the FRM syllabus.
- Focus on applying risk frameworks and quantitative tools to realistic scenarios.
- Guided walkthrough and debrief with the trainer.
Project 2
Exam-style FRM case set
Example: Solve a set of FRM-style MCQs and mini cases under time pressure and discuss solution approaches.
- Helps you understand how concepts are tested in the actual exam.
- Improves answer selection, time management and exam strategy.
Assessments
Mocks & progress tracking
Use mock tests, chapter quizzes and progress reviews to track readiness for both Part I and Part II.
- Exam-pattern mock tests with detailed feedback.
- Targeted revision based on topic-wise performance.
Free info session
Join Our Next Live Info Session on FRM Course
Meet our FRM trainers, understand the course roadmap for Kuwait, see the LMS in action, and get all your questions about the FRM exam and career outcomes answered live.
What you’ll learn in the session
- Is FRM Course right for your profile and experience level?
- How the Kuwait-friendly batches, LMS and practice resources work.
- Exam structure, preparation strategy and career prospects after FRM.
Learning experience
Flexible Learning Options Built for Working Professionals
Choose between self-paced video learning, live online classes or in-house corporate training, all supported by our cloud-based e-learning portal.
Mode of training
Classroom, Live Online or Hybrid
- Classroom or in-house sessions for corporate groups in Kuwait.
- Live instructor-led online batches with interactive doubt clearing.
- Join remotely and access session recordings if you miss a class.
Course duration
Around 160+ hours of training
- Structured coverage of FRM Part I and Part II across modules.
- Additional revision and mock exam sessions closer to the exam.
- Access to LMS recordings and materials for extended revision.
Upcoming batches
Choose the schedule that suits you
- Weekend batch: Designed for working professionals in Kuwait.
- Weekday evening batch: For learners who prefer shorter daily sessions.
- Fast-track or crash course batches close to key FRM exam windows.
Your certification path
How You’ll Become a Certified Financial Risk Manager
Follow a clear journey from enrolment to clearing FRM Part I and Part II and applying for your FRM designation from GARP.
Speak with our programme advisor, review GARP FRM requirements, and select a Kuwait-friendly batch and exam window that fits your timeline.
Attend interactive FRM classes, follow the study plan, practice with questions and mocks, and track your progress on the Delphi e-learning portal.
Take multiple mock exams, refine your strategy with trainer feedback, and appear for FRM Part I and Part II with confidence.
Complete the required two years of relevant work experience, submit it to GARP, and obtain your FRM designation to enhance your career opportunities.
Prefer to learn at your own pace?
Self-Paced Video Course Option
Access our structured FRM Course as a self-paced plan with recordings, materials and scheduled doubt-clearing support.
Self-paced plan typically includes:
- 120+ hours of topic-wise recorded FRM sessions.
- Access to reputed FRM study materials and exam kits.
- 700+ practice questions and mock tests with solutions.
- 24×7 access to Delphi Learning Management System (LMS).
- Periodic doubt-clearing clinics and support from faculty.
Who this plan is ideal for
- Working professionals in Kuwait or GCC with unpredictable schedules.
- Learners based outside major training hubs who prefer flexible timing.
- Self-motivated candidates who want to revisit complex FRM topics multiple times.
You can combine the self-paced plan with a shorter live revision bootcamp before your chosen FRM exam window.
Why Edudelphi
Why Professionals Choose Delphi for FRM Course
Leverage Delphi’s experienced FRM faculty, structured pedagogy and strong learner support to clear the FRM exams and advance your risk career.
Expert trainers
Certified & industry-experienced faculty
Learn from trainers who are CFA charterholders, CPAs and seasoned risk professionals with 10–22+ years of experience.
Live & interactive
Instructor-led classes with doubt support
Sessions focus on simplifying complex FRM topics, solving exam-style questions and addressing your specific doubts.
Smart LMS
Cloud-based e-learning portal
Access recordings, exam success slides, question banks and notes from anywhere, anytime.
Flexible schedules
Weekend & weekday batches
Multiple schedule options make it easier to balance FRM preparation with work or studies.
Exam & career support
Guidance beyond the classroom
Get help with GARP registration, exam planning, and placement assistance including CV and interview support for risk roles.
Recognised quality
KHDA approved & globally connected
Train with a licensed institute that supports FRM learners across India, Dubai and the wider GCC region.
Meet your mentors
Learn from Certified, Practicing Professionals
Train with experienced FRM and CFA-qualified mentors who blend exam expertise with deep industry backgrounds in risk and advisory.
Sumanth M
B.Tech (IIT Madras), MBA (ISB), CFA Charterholder
Brings a strong blend of quantitative, markets and portfolio expertise, 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)
A versatile scholar and trainer with 22+ years in advisory, control and risk management, with a strong track record coaching learners across professional finance and risk qualifications.
Faculty advantage
Certified & Professional Trainers
Every Delphi instructor goes through a rigorous screening process and teaches with one clear goal: helping you clear the exam and grow in your career.
- Global certifications plus strong industry experience.
- Exam-oriented teaching with practical risk insights.
- Track record of guiding FRM learners to strong results.
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 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 are 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.”
Exam & certification
How the FRM Certification Exam Works
Understand the structure of the FRM examinations conducted by GARP so you can plan your preparation and exam timeline effectively.
Exam pattern
- Exam type: Computer-based, multiple-choice questions for both parts.
- Duration: 4 hours for FRM Part I and 4 hours for FRM Part II.
- Number of questions: Part I has 100 MCQs; Part II has 80 MCQs.
- Negative marking: No negative marking is applied.
Exam windows & attempts
- Exam windows: FRM exams are offered multiple times a year in defined windows (for example May, mid-year and late-year; exact months vary by year).
- Results timeline: Results are typically released within about 2 months of the exam window.
- Re-attempts: You can re-register for a future window if you do not clear, as per GARP policies.
Certification & recognition
Upon successfully clearing both exam parts and meeting experience requirements, you will be awarded the Financial Risk Manager (FRM®) certification from Global Association of Risk Professionals (GARP), USA.
- Issued by: GARP, a leading global body for risk professionals.
- Recognised in: Major financial centers and markets worldwide.
- Validity: FRM designation is awarded on meeting experience requirements; GARP recommends ongoing CPD.
Please refer to the official GARP website for the latest exam dates, enrollment and registration fees, and regulations. Our team will guide you through registration and window selection.
Fees & inclusions
FRM Course Fees in Kuwait
Transparent pricing for FRM Course packages in Kuwait.
What your fee includes
- Complete FRM Course training (live online, classroom where available, and/or self-paced).
- Access to Delphi e-Learning portal, exam success slides and recommended study materials.
- Access to LMS and class recordings for structured revision.
- Mock exams, chapter tests, revision classes and exam-oriented doubt clearing.
- Study notes, guidance, and career counselling and placement assistance support.
EMI & instalment options available
For corporate and group enrolments in Kuwait, custom pricing and in-house FRM training options are available.
Get a personalised fee breakup
Share your details and our team will send you the latest FRM Course fee structure for Kuwait, applicable offers and a clear cost breakdown, along with guidance on GARP exam fees.
We’ll also help you plan your FRM exam timeline and choose the most cost-effective route to complete both parts.
Compare your options
FRM Course vs Other Certifications
Many learners compare the FRM Course with pure self-study or a general finance degree; this overview helps you see how focused FRM training fits your goals.
| Criteria | This Course FRM Course |
Alternative 1 Self-Study Only |
Alternative 2 General Finance Degree |
|---|---|---|---|
| Primary focus | Specialist training for GARP FRM Part I & II and practical risk skills. | FRM curriculum coverage depends entirely on your own planning. | Broad finance and business concepts, not FRM-specific. |
| Best suited for | Professionals and graduates targeting risk, treasury and quantitative finance roles. | Highly self-driven candidates comfortable sourcing and filtering all materials. | Learners seeking general management or finance exposure. |
| Exam structure | 2 parts, computer-based MCQ exams with focused prep and mocks. | Same 2-part FRM exam but with unstructured preparation. | Semester or term-based university exams, not aligned to FRM. |
| Time to complete | Typically 6–18 months to clear both parts with guided support. | Varies widely; longer if planning and consistency are weak. | 1–2 years for a master’s or several years for a degree. |
| Career outcomes | Strong fit for Risk Analyst, Risk Manager, Treasury and ALM roles. | Similar potential but harder to achieve without structured guidance. | General finance roles with less specialist risk positioning. |
Use this comparison to choose the preparation path that matches your learning style, budget and career timeline.
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 for Kuwait.
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, Kuwait-friendly batches and the best FRM path based on your profile.
What you’ll receive
- Full FRM Course syllabus with module-wise breakdown for Part I and Part II.
- Detailed fee breakup for Kuwait with any ongoing offers.
- Batch options (weekend, weekday, fast-track) aligned to upcoming exam windows.
- Guidance on GARP exam registration, scheduling and eligibility.
Preferred mode of training
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 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 is globally recognized in financial risk management.
Is the FRM Course in Kuwait available online?
Yes, we offer FRM training for learners in Kuwait through live online classes, self-paced video learning, and in-house corporate batches.
Do I need work experience to sit for the FRM exams?
No, you do not need work experience to sit for FRM Part I or Part II; work experience is required only to obtain the FRM certification after you have passed both parts.
How much work experience is required to become a Certified FRM?
You must complete at least 2 years of full-time professional work experience in finance or risk-related roles and submit it to GARP to be awarded the FRM designation.
What is the structure of the FRM Exam?
The FRM Exam has two parts, where Part I has 100 multiple-choice questions and Part II has 80 multiple-choice questions, with each part being 4 hours long and focused on risk concepts and their application.
How long does it take to prepare for each part of the FRM exam?
Most candidates require 200–300 hours of focused study per part, in addition to our classes and practice, and we help you create a realistic study plan based on your background and chosen exam window.
Does your FRM course in Kuwait include mock tests and practice questions?
Yes, we provide 700+ practice questions, mock tests, revision sessions and exam success slides to build your accuracy, speed and exam confidence.
Will I get recordings if I miss a live online FRM class?
Yes, we provide session recordings via our cloud e-learning portal so you can revisit topics and catch up on any missed classes at your convenience.
Who are the trainers for the FRM course?
Our FRM trainers are CFA®, FRM®, CPA and MBA-qualified professionals with 10–22+ years of industry and teaching experience in risk management, treasury and financial markets.
What study materials do you provide for FRM preparation?
We provide original or reputed study materials, recorded lectures, exam success slides, mock exams, revision sessions, and success notes and guidance before the exam.
Do you help with FRM exam registration and GARP account setup?
Yes, we guide you through GARP registration, exam scheduling and payment steps, ensuring you choose the right exam window and center.
Is there any exemption for FRM Part I or Part II based on other qualifications?
No, GARP does not offer exemptions for FRM Part I or Part II, so all candidates must pass both exams to earn the certification.
What happens if I fail the FRM exam after taking your course?
We offer an Exam Pass Guarantee under which, if you are unsuccessful, you can attend the next batch again free of training cost, subject to our pass-promise terms.
How are classes conducted for FRM training?
We conduct classes through classroom training where available, live instructor-led online sessions, and video-based self-paced learning, so you can choose the mode that best fits your schedule.
Do you provide placement assistance after completing the FRM course?
Yes, we provide placement assistance, including CV refinement, interview preparation guidance and support in exploring suitable risk and finance roles.
What are the career prospects after becoming an FRM?
FRM-certified professionals work as Risk Analysts, Risk Managers, Portfolio Managers, Treasury and ALM professionals, and Regulatory Risk Analysts in banks, asset management firms, consulting firms and corporates worldwide.
How much does it cost to sit for the FRM exam?
GARP charges a one-time enrollment fee plus exam registration fees that vary by early versus standard registration windows, and we will guide you to the latest fee details and deadlines when you plan your attempt.
How much does your FRM course in Kuwait cost?
Our FRM course fees depend on the learning mode you choose, such as self-paced, live online or in-house, and training materials, LMS access and support are included; contact us for the latest fee structure and installment options.
Is continuing professional development (CPD) mandatory for FRM holders?
CPD is not mandatory for FRM holders, but GARP strongly recommends participating in its CPD program to maintain and enhance your skills through relevant educational activities.
Can fresh graduates in Kuwait join the FRM Course?
Yes, fresh graduates and final-year students in Kuwait can join the FRM Course, clear the exams early, start their careers in risk or finance, and then gain the required 2 years of experience to become Certified FRMs.
Ready to Start Your FRM Course Journey?
Take the first step towards a globally recognised Financial Risk Manager credential and a stronger career in risk management.
We’ll send you syllabus, fees, batch schedules and answer any questions you have.




















