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The Professional Risk Managers' International Association (PRMIA) is a non-profit organization that provides training, certification, and networking opportunities to risk management professionals. The PRMIA 8008 Exam is one of the certification exams offered by PRMIA, which covers various aspects of risk management frameworks, operational risk, credit risk, counterparty risk, market risk, asset liability management (ALM), and funds transfer pricing (FTP).

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To prepare for the PRMIA 8008 exam, candidates are required to have a deep understanding of financial markets, risk management principles, and analytical tools. They must also have the ability to apply these concepts to real-world scenarios. Candidates can prepare for the exam through self-study or through a PRMIA-approved training program.

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FTP is the mechanism by which a financial institution allocates its funding costs to its different business units. This section of the exam covers the different types of FTP mechanisms such as marginal cost of funds, average cost of funds, and transfer pricing. Candidates will also be tested on their understanding of FTP techniques such as transfer pricing models, FTP policies, and FTP implementation.

The Professional Risk Managers' International Association (PRMIA) offers a comprehensive, globally recognized certification program for risk management professionals. The PRM Certification Exam III, also known as PRMIA 8008, is a vital component of this program. 8008 exam focuses on various aspects of risk management, including operational risk, credit risk, counterparty risk, market risk, asset-liability management (ALM) and funds transfer pricing (FTP).

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PRMIA 8008 Exam Syllabus Topics:

SectionObjectives
Topic 1: Credit Risk- Credit risk measurement and modeling
  • 1. Loss given default (LGD)
    • 2. Probability of default (PD)
      • 3. Exposure at default (EAD)
        - Credit portfolio risk
        Topic 2: Risk Management Frameworks- Risk measurement and reporting frameworks
        - Enterprise risk management principles
        • 1. Risk appetite and tolerance
          • 2. Risk identification and assessment processes
            • 3. Risk governance structure
              Topic 3: Funds Transfer Pricing (FTP)- Internal pricing of funds and liquidity allocation
              - FTP methodologies
              Topic 4: Market Risk- Market risk measurement techniques
              • 1. Stress testing and scenario analysis
                • 2. Value at Risk (VaR)
                  - Interest rate, equity, FX, and commodity risk
                  Topic 5: Counterparty Risk- Counterparty credit exposure
                  - Netting and collateral management
                  - Derivatives credit risk considerations
                  Topic 6: Asset-Liability Management (ALM)- Liquidity risk management
                  - Interest rate risk in the banking book (IRRBB)
                  Topic 7: Operational Risk- Operational risk management techniques
                  • 1. Key risk indicators (KRI)
                    • 2. Risk and control self-assessment (RCSA)
                      • 3. Loss event data collection
                        - Operational risk types and sources

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