Training/Career Development
 

Certified Management Accountant (CMA)

Certified Information System Auditor (CISA)
Certified Financial Manager (CFM) Professional in Human Resources (PHR)
Certified Associate Business Manager (CABM) Senior Professional in Human Resources (SPHR)

Certified Internal Auditor (CIA)

Global Professional in Human Resources (GPHR)

Certified Bank Auditor (CBA)

Certified Business Manager (CBM)
Certified Treasury Professional (CTP) Project Management Professional (PMP)
Certified eMarketing Associate (CeMA) Certified Information Security Manager (CISM)

Executive MBA

Certified Risk Professional (CRP)

Professional Designation/Certification Programs for Executives

   
 

   
 

Program Objectives

Professionals who attain this designation will distinguish themselves from others because the CRP certification sets the standards for measuring risk management experience, knowledge and skills of risk management professionals. Risk management continues to become more complex and to grow in importance in financial services. In addition, the regulatory community is focusing on risk control as a key indicator of an organization's strength. The CRP certification will identify individuals who have specialized expertise in financial services risk management.

Pre-requisites and Requirements

A Bachelor's Degree from an accredited college or university with work experience of at least three years in the fields of exposure identification, risk evaluation or risk control. For candidates without a Bachelor's Degree, work experience of at least five additional years in the fields of exposure identification, risk evaluation or risk control may be substituted. The total risk management work experience requirement for these candidates is eight years.

Exam Window (s)

Core Exam 1 & 2: June, November
SpeSpecialty exams: June, November

For more information on registration deadlines for Exam, please visit CTP Exam Registration.

Course Schedule (s)

Continuing Professional Education (CPE)

For more information on Recertification, please visit CRP CPE Policy.

Program Contents

Core Program

Part 1

  • Financial Services Risk Management Theory, Principles and Concepts - Definitions, Other Areas of Risk, Stakeholders View, Board of Directors - roles & responsibilities, Senior Management - roles & responsibilities, Business Line Accountability, Risk Management Framework, System of Internal Controls.


Part 2

  • Financial Services Risk Management Practice and Application - Strategic Risk, Reputation Risk, Credit Risk, Liquidity Risk, Interest Rate Risk, Market / Price Risk, Trading / Foreign Exchange Risk, Operating Risk, Regulatory Compliance Risk, Financial Reporting Regulations related to Trading.


Specialty Program

  • Audit U.S. Regulatory Compliance - Compliance Management, Operations and Deposit Compliance Regulations, Lending Compliance Regulations, Meeting the Convenience and Needs of the Community, Safety and Soundness Regulations


  • Sources of Capital and Leasing


  • Finance and Accounting


  • Treasury/Asset Liability


  • Management Balance Sheet Risk Management

Please visit the following link www.bai.org/crp/examprep.asp for suggested reading references and sources related to the Specialty Program.

For more information on CRP, please visit www.bai.org

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For more information, please contact Dr. Mohamed Amin Hemimi
Tel: (20-2) 3338-1050, Fax: (20-2) 3338-9894

 

   
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