The document describes a Financial Risk Manager training program. The program aims to provide in-depth knowledge of risk identification, measurement and management techniques to help students gain careers as qualified risk management professionals. The 40-hour course is divided into 2 parts that cover the basics of risk management, quantitative analysis, financial markets and products, and credit, market, operational and integrated risk measurement and management. Those eligible include professionals in risk management, finance, trading and treasury management. The training methodology focuses on instructor-led lessons and practical exercises. Students will receive a certificate upon completion.