壹級考試(Part I)考試內容:風險管理基礎(Foundations of Risk Management)、定量分析(Quantitative Analysis)、金融市場與金融產品(Financial Markets and Products)、估值與風險模型(Valuation and Risk Models)
二級考試(Part II)考試內容:市場風險測量與管理(Market Risk Measurement and Management)、信用風險測量與管理(Credit Risk Measurement and Management)、操作與系統風險管理(Operational and Integrated Risk Management)、風險管理與投資管理(Risk Management and Investment Management)、當前金融市場形勢(Current Issues in Financial Markets)