Understanding risk is step one. Managing it in real markets is mastery.

FRM Part II is the professional proving ground for risk managers.
This level challenges you to apply risk models, frameworks, and judgment to complex, real-world financial scenarios faced by banks, investment firms, and global institutions. At FINAIM, we train you to think, analyze, and decide like a senior risk professional.

Apply Risk Management to Real-World Financial Scenarios

The curriculum is governed by the globally respected Global Association of Risk Professionals (GARP), ensuring global relevance and industry credibility.

FRM Part II focuses on practical application of risk concepts across different risk categories and evolving financial markets.

Key areas include:

  • Market Risk & Risk Measurement

  • Credit Risk & Counterparty Risk

  • Operational Risk & Governance

  • Liquidity & Treasury Risk

  • Investment Management

  • Current Issues in Financial Markets

This level emphasizes judgment, integration, and application, preparing candidates for senior and specialized risk management roles.

Begin Your
FRM Part-II Journey

Who Should Enroll?

  • FRM Part I cleared candidates

  • Risk analysts and risk managers

  • Professionals in banking, trading, and investment roles

  • Candidates aiming for senior risk leadership positions

What FINAIM Provides for FRM Part II ?

Program Highlights

  • High-Quality Recorded Lectures
    Ideal for multiple revisions and concept integration

  • In-Depth Live Classes (3 Hours Each)
    Weekday & weekend batches for working professionals

  • Complete Syllabus Coverage in 5–6 Months
    Structured pace with strategic revisions

  • Exam-Level Mock Tests & Advanced Practice Questions
    Closely aligned with actual FRM Part II exam complexity

  • Case-Based Learning & Real-World Applications
    Practical scenarios from banks, markets, and institutions

  • Expert Faculty & Structured Study Material
    Clear guidance through complex risk frameworks

Begin Your
FRM Part-II Journey

Career opportunities with

Meet Our
Mentor

Sushant Bathla is a highly qualified finance professional and educator, holding CFA (US), FRM (US), CMA (US) certifications along with an MBA in Finance. He brings 7–8 years of combined teaching and industry experience in the field of finance and investment management.

With strong academic expertise and practical exposure, he has worked with reputed global organizations such as Barclays Shared Services and Evalue Services Private Limited, where he was involved in managing Exchange Traded Funds (ETFs) and financial analysis.

His teaching approach focuses on conceptual clarity, exam-oriented preparation, and real-world application, making him a trusted mentor for students preparing for CFA, FRM, and other finance certifications.

Interatct with our classroom

Career Outcomes After FRM Part II

  • Market Risk Manager
  • Credit Risk Manager
  • Operational & Enterprise Risk Roles
  • Treasury & Liquidity Risk Specialist
  • Senior Risk Analyst / Risk Consultant

Join FINAIM’s FRM Part II Program and master risk management at a professional level.

Ready to Step Into Advanced Risk Leadership?