
FinVedanta’s FRM Level 1 online course offers a complete learning experience for students and professionals preparing for the Financial Risk Manager (FRM) certification conducted by GARP (Global Association of Risk Professionals).
The course covers all major topics in risk management, quantitative analysis, financial markets, and valuation — blending live online sessions, recorded video lectures, and mock tests to ensure thorough exam preparation.
Who Should Enrol
- Graduates or final-year students aiming to pursue a career in risk management, investment banking, or financial analytics.
- Finance professionals who want to upgrade their career profile with an international certification.
- Candidates seeking structured online coaching for FRM Level 1 aligned with the latest GARP syllabus.
- Learners who prefer flexible online classes with live instruction and recorded content for revision.
Course Overview
The FRM Level 1 syllabus focuses on the tools used to assess financial risks and the foundations of quantitative analysis, valuation, and markets. FinVedanta’s course structure follows the GARP-prescribed curriculum in a simple, systematic format.
Course Structure & Learning Format
- Live Online Classes: Conducted by experienced finance instructors who simplify complex topics using examples.
- Recorded Lectures: Every live class is recorded and available for replay — ideal for working professionals and self-paced learners.
- Topic-wise Practice Tests: Regular quizzes after each module for progress tracking.
- Mock Exams: Full-length simulated exams that reflect the actual FRM Level 1 exam pattern.
- Study Material: Comprehensive notes, question banks, and summary sheets aligned with GARP standards.
- Doubt-Solving Support: Dedicated sessions to resolve conceptual and numerical queries.
Why Choose FinVedanta for FRM Level 1 Preparation
FinVedanta focuses on simplifying global finance concepts for Indian learners through high-quality online education.
Our faculty includes CFA and FRM-qualified instructors with practical experience in finance and risk analysis. The structured program ensures that you not only understand the theory but can also apply it effectively in the exam and workplace.
Key Advantages:
- Flexible learning – attend from anywhere, anytime.
- All classes recorded and accessible for future revision.
- Updated syllabus based on GARP’s latest guidelines.
- Practical examples and case-based discussions.
- Regular assessments, feedback, and study planning support.
- Affordable and accessible for students across India.
Learning Outcomes
After completing this course, you will be able to:
- Understand core principles of financial risk management.
- Apply quantitative techniques in valuation, pricing, and data analysis.
- Analyze and interpret risk using models like VaR and stress testing.
- Develop the conceptual foundation for FRM Level 2 and global finance roles.
- Approach the FRM Level 1 exam with confidence and strategic clarity.
Career Path After FRM Level 1
Clearing FRM Level 1 opens opportunities in:
- Risk management and credit analysis
- Investment banking and trading
- Treasury and portfolio management
- Financial consulting and compliance
- Quantitative research and analytics
Employers in India and abroad value FRM-certified professionals for their analytical skills and understanding of financial risk frameworks.
How to Enrol
- Visit the FRM Level 1 Course page on FinVedanta’s website.
- Complete the registration form and choose your batch schedule.
- Get access to the online dashboard with class links, study materials, and mock tests.
- Attend live sessions, revise through recordings, and track your progress through regular assessments.
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