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基金從業資格翻譯

發布時間:2021-01-30 06:08:36

證券從業資格證英文縮寫是什麼

中文名:證券從業資格證。又稱:證券行業的准入證,外文名:The securities qualification certificate 簡稱:SAC

證券從業資格證是由中國證券業協會負責組織的全國統一考試,是進入證券行業的必備證書。當然,證券從業資格證書並不是終點,你還可以根據個人職業規劃,考取其他證書,以求更好的發展。

證券行業是目前國內最高收益的朝陽行業,是金融行業的重要支柱。因此,市場對證券人才的需求一直處於穩定增長的態勢。尤其是高端金融人才,更是成為企業不惜高薪聘請的對象。

隨著國家監管力度的加大,專業化要求的進一步提高,聘請具有證券從業資格的人員成為金融機構的必然選擇,但是市場上真正達標的相關人才數量卻遠遠不夠,人才缺口相當大。



㈡ 關於證券從業資格的翻譯問題

The securities business license
The securities instry professional level certification
Issuers and underwriters
Securities Investment Fund
Basic knowledge of securities markets

㈢ 翻譯翻譯……

已故。弗蘭克Terry的慈善基金

我的名字是律師。理查德科爾,我專是英格蘭人,並屬在庭科爾理查德法錢伯斯在倫敦英國總裁。我是一個法律執業者,要求在1980年英國大律師資格。我曾經是個人律師弗蘭克先生後期特里..

特里弗蘭克先生生前是一個偉大的慈善家,他去世之前,他提出了1000萬美元(US $ 10,000,000.00慈善會),這本來是非洲的捐贈慈善機構,支持非洲的兒童感染艾滋病毒/艾滋病。

㈣ 2018基金從業資格考試多少分算過

截止協會發布的9月份的考試公告都是60分劃線。
基金從業考試採取閉卷、計算機版考試方式進行。考試題型權均為單選題,每科題量為100道,每題分值1分,總分100分,60分為合格線。更多有關基金從業資格考試信息,可關注希賽網基金從業資格考試頻道更新。

㈤ 基金從業資格考試書用英語怎麼說

基金從業資格考試書

用英語表達是:

Text Book for the Fund Qualification

㈥ ACCA,CISA,FSA,CFA,CFP,PMP誰幫忙用英文解釋下這幾個金融資格職業證書,(不要解釋是什麼的縮寫)

CISA is an audit professional certification sponsored by the Information Systems Audit and Control Association (ISACA). Candidates for the certification must meet requirements set by ISACA。
The CISA certification was established in 1978[1] for several reasons:

Develop and maintain a tool that could be used to evaluate an indivials' competency in concting information system audits.
Provide a motivational tool for information systems auditors to maintain their skills, and monitor the success of the maintenance programs.

Provide criteria to help aid management in the selection of personnel and development.

The first CISA examination was administered in 1981, and registration numbers have grown each year. Over 60,000[1] candidates have earned the CISA designation.

The CISA certification has been recognised with ANSI accreditation, along with the CISM certification- both of these certifications are managed by ISACA. It is one of the few certifications formally approved by the US Department of Defense in their Information Assurance Technical category (DoD 8570.01-M).

Requirements
Candidates for a CISA certification must pass the examination, agree to adhere to ISACA's Code of Professional Ethics, submit evidence of a minimum of five years of professional IS auditing, control, or security work, and abide by a program of continuing professional ecation.

Substitutions and waivers of such experience may be obtained as follows:[2]

A maximum of one year of information systems experience OR one year of financial or operational auditing experience can be substituted for one year of information systems auditing, control, or security experience.
60 to 120 completed college semester credit hours (the equivalent of an Associate or Bachelor degree) can be substituted for one or two years, respectively, of information systems auditing, control or security experience.
Two years as a full-time university instructor in a related field (e.g., computer science, accounting, information systems auditing) can be substituted for one year of information systems auditing, control or security experience.

[edit] Examination
The exam consists of 200 multiple-choice questions that must be answered within 4 hours. The exam is split between 6 Content Areas as of 2006:

IS Audit Process - 10% of Exam
IT Governance - 15% of Exam
Systems and Infrastructure Lifecycle Management - 16% of Exam
IT Service Delivery and Support - 14% of Exam
Protection of Information Assets - 31% of Exam
Business Continuity and Disaster Recovery - 14% of Exam
The exam is now offered in 11 languages at more than 200 locations worldwide in June and December.
The Association of Chartered Certified Accountants (ACCA) is a British chartered accountancy body with a global presence that offers the Chartered Certified Accountant (Designatory letters ACCA or FCCA) qualification worldwide. It is one of the world's largest and fastest-growing accountancy bodies with 122,426 members and 325,606 affiliates and students in 170 countries. The Institute's headquarters are in London with the principal administrative office being based in Glasgow. In addition the ACCA has a network of nearly 80 staffed offices and other centres around the world.

The ACCA is a founding member body of the Consultative Committee of Accountancy Bodies (CCAB) and the International Federation of Accountants (IFAC).

The term 'Chartered' in ACCA qualification refers to the Royal Charter granted in 1974 by Her Majesty the Queen in the United Kingdom.

Since Chartered Certified Accountant is a legally protected term, indivials who describe themselves as Chartered Certified Accountants must be members of ACCA and, if they carry out public practice engagements, must comply with additional regulations such as holding a practising certificate, being insured against any possible liability claims and submitting to inspections.

The Association of Authorised Public Accountants (AAPA), one of the British professional bodies for public accountants, has been a subsidiary of ACCA since 1996.

FSA is an independent non-governmental body, quasi-judicial body and a company limited by guarantee that regulates the financial services instry in the United Kingdom.
The Financial Services and Markets Act imposed four statutory objectives upon the FSA:
market confidence: maintaining confidence in the financial system
public awareness: promoting public understanding of the financial system;
consumer protection: securing the appropriate degree of protection for consumers; and
rection of financial crime: recing the extent to which it is possible for a business carried on by a regulated person to be used for a purpose connected with financial crime

[edit] Regulatory principles
The statutory objectives are supported by a set of principles of good regulation which the FSA must have regard to when discharging its functions. These are:

efficiency and economy: the need to use its resources in the most efficient and economic way.
role of management: a firm』s senior management is responsible for its activities and for ensuring that its business complies with regulatory requirements. This principle is designed to guard against unnecessary intrusion by the FSA into firms』 business and requires it to hold senior management responsible for risk management and controls within firms. Accordingly, firms must take reasonable care to make it clear who has what responsibility and to ensure that the affairs of the firm can be adequately monitored and controlled.
proportionality: The restrictions the FSA imposes on the instry must be proportionate to the benefits that are expected to result from those restrictions. In making judgements in this area, the FSA takes into account the costs to firms and consumers. One of the main techniques they use is cost benefit analysis of proposed regulatory requirements. This approach is shown, in particular, in the different regulatory requirements applied to wholesale and retail markets.
innovation: The desirability of facilitating innovation in connection with regulated activities. For example, allowing scope for different means of compliance so as not to unly restrict market participants from launching new financial procts and services.
international character: Including the desirability of maintaining the competitive position of the UK. The FSA takes into account the international aspects of much financial business and the competitive position of the UK. This involves co-operating with overseas regulators, both to agree international standards and to monitor global firms and markets effectively.
competition: The need to minimise the adverse effects on competition that may arise from the FSA's activities and the desirability of facilitating competition between the firms it regulates. This covers avoiding unnecessary regulatory barriers to entry or business expansion. Competition and innovation considerations play a key role in the FSA's cost-benefit analysis work. Under the Financial Services and Markets Act, the Treasury, the Office of Fair Trading and the Competition Commission all have a role to play in reviewing the impact of the FSA's rules and practices on competition.

[edit] Accountability and management
The FSA is accountable to Treasury Ministers, and through them to Parliament. It is operationally independent of Government and is funded entirely by the firms it regulates through fines, fees and compulsory levies. Its Board consists of a Chairman, a Chief Executive Officer, a Chief Operating Officer, two Managing Directors, and 11 non-executive directors (including a lead non-executive member, the Deputy Chairman) selected by, and subject to removal by, HM Treasury. Among these, the Deputy Governor for Financial Stability of the Bank of England is an ex officio Board member. This Board decides on overall policy with day-to-day decisions and management of the staff being the responsibility of the Executive. This is divided into three sections each headed by a Managing director and having responsibility for one of the following sectors: retail markets, wholesale and institutional markets, and regulatory services.

Its regulatory decisions can be appealed to the Financial Services and Markets Tribunal.

HM Treasury decides upon the scope of activities that should be regulated, but it is for the FSA to decide what shape the regulatory regime should take in relation to any particular activities.

The FSA is also provided with advice on the interests and concerns of consumers by the Financial Services Consumer Panel [2]. This panel describes itself as "An Independent Voice for Consumers of Financial Services". Members of the panel are appointed and can be dismissed by the FSA and emails to them are directed to FSA staff. The Financial Services Consumer Panel will not address indivial consumer complaints.

Chartered Financial Analyst (CFA) is an international professional designation offered by the CFA Institute of USA (formerly known as AIMR) to financial analysts who complete a series of three examinations. Candidates must have a bachelor's degree (or equivalent), be in the final year of their bachelor's degree program, or have at least four years of qualified, professional work experience in order to take the exams. In order to become a "CFA Charterholder" candidates must pass all three exams, agree to comply with the code of ethics, pay member es, and have four years of work experience deemed acceptable by the CFA Institute. CFA charterholders are also obligated to adhere to a strict Code of Ethics and Standards governing their professional conct

The Certified Financial Planner (CFP) designation is a certification mark for financial planners conferred by the Certified Financial Planner Board of Standards in the United States, Financial Planners Standards Council in Canada and 18 other organizations affiliated with Financial Planning Standards Board (FPSB), the international owner of the CFP mark outside of the United States. To receive authorization to use the designation, the candidate must meet ecation, examination, experience and ethics requirements, and pay an ongoing certification fee.[1]. The information contained herein relates specifically to CFP certification in the United States. For information on CFP certification outside of the United States, please see the FPSB website at http://www.fpsb.org/CMS/index.php?option=com_content&task=view&id=84&Itemid=110 for a list of affiliate member organizations and their respective websites.
The CFP Certification Examination is a 10-hour multiple choice exam, divided into one four-hour session (Friday afternoon) and two three-hour sessions (Saturday). The exam includes three major case problems and is designed to assess the student's ability to apply his or her knowledge of the aforementioned areas to financial planning situations. The exam was set as a requirement in 1993 and at that time CFPs were grandfathered without having to pass this exam. [5]

Indivials holding professional designations pre-approved by the CFP Board (like PhDs in business and economics, attorneys, Certified Public Accountants (CPA), Chartered Certified Accountants (ACCA), Chartered Accountants (CA), Chartered Wealth Managers (AAFM) ), and Chartered Financial Analysts (CFA) are entitled to register for and take the exam without having to complete the ecation requirements by using the CFP-board's challenge status.

Project Management Professional is properly expressed as the credential PMP. The credentialing agency is the Project Management Institute ([1] PMI). This credential is obtained by gaining a certification in project management through the completion of PMI certified training and examination. PMP training and examination material comes from the Guide to the Project Management Body of Knowledge PMBOK published most recently in 2007. Most exam questions reference PMI's project quality standards documented in the PMBOK. The PMP credential undergoes rigorous validation by ISO, and the PMBOK methodology is widely regarded as the instry standard for Project Management and has been adopted as the single standard for project management by agencies such as NASA.

PMP (Project Management Professional) is one of four concentrations offered by PMI in the study of Project Management:
1. CAPM Certified Associate in Project Management: This certification is obtained after passing the CAPM Exam
2. PMP Project Management Professional: This certification is obtained after passing the PMP Exam
3. PgMP Program Management Professional: This certification is obtained after passing the PgMP Exam
4. PMI RMP PMI Risk Management Professional: This certification is obtained after passing the PMI-RMP Exam

㈦ 2018年度基金從業人員英文預約資格考試報考范圍及條件

一、報考范圍及條件
(一)具有完全民事行為能力;
(二)已向協會提交機構登記申請的外商獨資或合資私募證券投資基金管理人的外籍高級管理人員,包括法定代表人、董事長、總經理、副總經理等高級管理人員,以及負責投資、研究、交易的投資管理人員(含基金經理); 合規/風控負責人必須報考中文語種的基金從業資格考試;
(三)外籍高級管理人員需取得境外基金、資產管理等相關從業資格,或持有特許金融分析師(CFA)等相關資格證書,並滿足具備五年以上境外資產管理相關工作經驗;
(四)港澳地區金融機構的高級管理人員也可參加英文語種的基金從業資格考試,考試通過後可根據《內地與香港關於建立更緊密經貿關系的安排》即CEPA協議的相關規定申請基金從業資格;
(五)中國證監會及協會規定的其他條件。
二、考試科目
科目一:《基金法律法規、職業道德與業務規范》。
三、考試教材及大綱
科目一考試所用教材為中國證券投資基金業協會組編的《證券投資基金》,由高等教育出版社出版;具體購買方法詳見協會網站「從業人員管理」欄目,網址鏈接http://baoming.amac.org.cn:10080/jjksreg/jjgg/NewsBook2017.html。考試教材語種為中文。
科目一的英文版考試大綱詳見附件。
四、考試方式
(一)考試採取閉卷、計算機考試方式進行,考試界面及試卷為英文。
(二)考試時間為120分鍾,考試題型均為單選題,題量為100道,每題分值1分,總分100分,60分為合格線。
五、考試時間及報名安排
採取網上報名方式,通過中國證券投資基金業協會官網「從業人員管理」欄目提供的報名鏈接進行報名,也可直接登錄報名網站(http://baoming.amac.org.cn:10080/site)按照要求報名。報考人員需要先通過預登記報名填寫基本信息並上傳以下資料:
(一)已向協會提交機構登記申請的外商獨資或合資私募證券投資基金管理人蓋章的中文版《高管任職證明》(見附件模板);
(二)境外基金、資產管理等相關從業資格或特許金融分析師(CFA)等相關資格證書;
(三)5年以上境外資產管理相關工作經歷證明。
經審核通過符合報名條件的,可以正式報名預約考試機位。預約式考試機位有限,每場限定報名名額,先報先得,額滿為止。
英文預約式考試時間安排詳見每期的考試公告。
2018年5月份英文預約式考試具體時間安排如下:
考試時間報名起止時間: 2018年4月12日18:00至2018年4月25日17:00
准考證列印時間: 2018年5月2日10:00至2018年5月4日

㈧ CFA考試 是英文 還是中文

英文的。 CFA考試的形式就是全球化的全英文考試,題目的呈現形式是英文而不是中文,那版么我們既然選擇權了備考CFA之路,就要習慣英文閱讀,這樣在考試過程中才能提高我們的讀題速度,把握題乾的意思。 其次,有的考生在做題的時反映,老師把題目翻譯成中文解釋給我聽就明白了,可是一看英文題目就搞昏了。如果存在這種情況,我們不是更應該強化自己的英文理解能力。 具體事項可以找專業的機構進行詳細的咨詢,在眾多的教育機構中,高頓教育的性價比高,高頓教育始終專注構建財經終身教育服務體系,服務國家經濟建設,服務國內專業財經人才培養,服務財經人士終身教育需求。作為培訓機構,其始終牢記使命,口碑和專業是學員和客戶信賴的原因,也是高頓永恆的追求目標。

㈨ 各種含金量高的證書

10

心理咨詢師證

近年來,心理學正在以一種可以看得見的方式潛移默化的改變著中國人的生活。

其實,心理咨詢師的證書其實是每個專業都可以考的,身邊通過自學考下來證書的也很多。

在生活中大家是很難相信一個非專業,只是拿到證書的學生的。心理咨詢這件事,畢竟還是經驗比理論更重要一些。

9

人力資源管理師證

在近些年來的招聘會上,"人力資源管理"這個職位頻頻出現在眾多求職者面前。人力資源管理師是如今少數幾個行情持續看漲的職業之一。

我國越來越多的企業都逐步認識到引才、用才、留才的重要性,而這些課題正是人力資源管理師的職業范圍,人力資源管理師變得緊俏起來。

8

全國翻譯專業資格證

全國翻譯專業資格考試已納入國家職業資格證書制度,是一項在中國實行的、統一的、面向全社會的翻譯專業資格(水平)認證,是對參試人員口譯或筆譯方面雙語互譯能力和水平的評價與認定。

7

建造師職業資格證書

建造師資格證是符合條件的人員經過專業考試取得的證書。它是以專業技術為依託、以施工管理為主、以工程項目管理為主業的執業注冊人員的證明文件。

建造師分為一級建造師和二級建造師。取得建造師執業資格證書且符合注冊條件的人員,經過注冊登記後,即獲得一級或二級建造師注冊證書。注冊後的建造師方可受聘執業,一級注冊建造師資格證書全國通用,二級注冊建造師在省內有效。

6

執業醫師資格證

執業醫師資格證,是通過全國統一的執業醫師資格考試和執業助理醫師資格考試後,由國家衛生計生委統一發放的。

是我國從業醫師必須擁有的證書,屬於醫療技術方面的認可。證明持證人具有獨立從事醫療活動的技術和能力,證書永久有效(紅色封面的證書)。

5

注冊會計師資格證

注冊會計師,是指通過注冊會計師執業資格考試並取得注冊會計師證書在會計師事務所執業的人員,簡稱為CPA,CPA。

被認為是財會領域的第一黃金職業,薪酬待遇非常可觀,但同樣的考試難度也很高。在大中型企業招聘招聘主管會計、財務經理、財務總監、總會計師等職位,大多都需要持有注冊會計師證書。

4

特許金融分析師

考試每年舉辦兩次,是世界上規模最大的職業考試之一,是當今世界證券投資與管理界普遍認可的一種職業稱號。

一直被視為金融投資界的MBA。CFA資格證書被授予廣泛的各個投資領域內的專業人員,包括基金經理、證券分析師、財務總監、投資顧問等等。

如果未來自己想在金融行業有所發展,或者在投行工作,考取這一本證書就是自己實力最好的見證!

3

法律職業資格證書

法律職業資格證是證書持有人通過考試並依法取得的證書,取得該證書的人可以依法擔任執業律師、法官、檢察官和公證員,由中華人民共和國司法部統一製作、頒發。

作為必要的行業資格考試,認定持有人具備從業水平。

2

國家精算師

精算師,指保險公司僱用的數學專業人員,主要從事保險費、賠付准備金、分紅、保險額、退休金、年金等的計算。

精算師被認為是分析金融風險的傑出專家。其執業生涯被喻為:「金域中的金領」,我國精算人才稀缺,有預測稱,我國未來十年急需5000多名精算師。目前國內精算師的平均年薪水平保底也有30萬!

1

注冊電氣工程師

含金量高的,也是最值錢的,就是注冊電氣工程師職業資格證書。

想要取得注冊電氣工程師的資格,必須通過難度非常大的專業考試和考核,對於注冊電氣工程師也要求相關的報考資格,必須是本專業或者是相近專業且具有相關學歷的人才可以報考。

起步要求可以說是相當之高了,這含金量的保證啊!



每項證書的背後,都是汗水和努力,

希望所有報考考證的同學,

都能如願,加油!

在校時,很多同學忙於考

四六級、計算機二級證書、會計初級證書

那到底什麼證書在畢業後

最有用、最吃香、最具含金量呢?

今天我們一起來看!



10

心理咨詢師證

近年來,心理學正在以一種可以看得見的方式潛移默化的改變著中國人的生活。

其實,心理咨詢師的證書其實是每個專業都可以考的,身邊通過自學考下來證書的也很多。

在生活中大家是很難相信一個非專業,只是拿到證書的學生的。心理咨詢這件事,畢竟還是經驗比理論更重要一些。

9

人力資源管理師證

在近些年來的招聘會上,"人力資源管理"這個職位頻頻出現在眾多求職者面前。人力資源管理師是如今少數幾個行情持續看漲的職業之一。

我國越來越多的企業都逐步認識到引才、用才、留才的重要性,而這些課題正是人力資源管理師的職業范圍,人力資源管理師變得緊俏起來。

8

全國翻譯專業資格證

全國翻譯專業資格考試已納入國家職業資格證書制度,是一項在中國實行的、統一的、面向全社會的翻譯專業資格(水平)認證,是對參試人員口譯或筆譯方面雙語互譯能力和水平的評價與認定。

7

建造師職業資格證書

建造師資格證是符合條件的人員經過專業考試取得的證書。它是以專業技術為依託、以施工管理為主、以工程項目管理為主業的執業注冊人員的證明文件。

建造師分為一級建造師和二級建造師。取得建造師執業資格證書且符合注冊條件的人員,經過注冊登記後,即獲得一級或二級建造師注冊證書。注冊後的建造師方可受聘執業,一級注冊建造師資格證書全國通用,二級注冊建造師在省內有效。

6

執業醫師資格證

執業醫師資格證,是通過全國統一的執業醫師資格考試和執業助理醫師資格考試後,由國家衛生計生委統一發放的。

是我國從業醫師必須擁有的證書,屬於醫療技術方面的認可。證明持證人具有獨立從事醫療活動的技術和能力,證書永久有效(紅色封面的證書)。

5

注冊會計師資格證

注冊會計師,是指通過注冊會計師執業資格考試並取得注冊會計師證書在會計師事務所執業的人員,簡稱為CPA,CPA。

被認為是財會領域的第一黃金職業,薪酬待遇非常可觀,但同樣的考試難度也很高。在大中型企業招聘招聘主管會計、財務經理、財務總監、總會計師等職位,大多都需要持有注冊會計師證書。

4

特許金融分析師

考試每年舉辦兩次,是世界上規模最大的職業考試之一,是當今世界證券投資與管理界普遍認可的一種職業稱號。

一直被視為金融投資界的MBA。CFA資格證書被授予廣泛的各個投資領域內的專業人員,包括基金經理、證券分析師、財務總監、投資顧問等等。

如果未來自己想在金融行業有所發展,或者在投行工作,考取這一本證書就是自己實力最好的見證!

3

法律職業資格證書

法律職業資格證是證書持有人通過考試並依法取得的證書,取得該證書的人可以依法擔任執業律師、法官、檢察官和公證員,由中華人民共和國司法部統一製作、頒發。

作為必要的行業資格考試,認定持有人具備從業水平。

2

國家精算師

精算師,指保險公司僱用的數學專業人員,主要從事保險費、賠付准備金、分紅、保險額、退休金、年金等的計算。

精算師被認為是分析金融風險的傑出專家。其執業生涯被喻為:「金域中的金領」,我國精算人才稀缺,有預測稱,我國未來十年急需5000多名精算師。目前國內精算師的平均年薪水平保底也有30萬!

1

注冊電氣工程師

含金量高的,也是最值錢的,就是注冊電氣工程師職業資格證書。

想要取得注冊電氣工程師的資格,必須通過難度非常大的專業考試和考核,對於注冊電氣工程師也要求相關的報考資格,必須是本專業或者是相近專業且具有相關學歷的人才可以報考。

起步要求可以說是相當之高了,這含金量的保證啊!

㈩ 證券基金從業資格證書英文怎麼說ne

Certificate of qualification for Securities Fund

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