February

21st February 2018

Aligning stress testing with BAU practices

By Jeff Simmons, Head of Enterprise Risk Management, Bank of Tokyo-Mitsubishi UFJ.
21st February 2018

Risk oversight: Challenges and a new approach

By Richard Pike, CEO, Governor. 
20th February 2018

Best practices in validating CECL models

By Jacob Kosoff, Head of Model Risk Management & Validation, Regions Bank.
20th February 2018

IRB model repairs: Guidelines and definition of default

By Christian Dusterberg, IFRS 9 Senior Advisor, Erste Group.
20th February 2018

Managing balance sheet and regulatory requirements across entities and jurisdictions

By Steven Hageman, Chief Liquidity Risk Officer, Societe Generale.
9th February 2018

Linking business objectives & strategy to Risk for better operational risk management

By Richard Pike, CEO, Governor Software.
9th February 2018

Innovation in risk management

By Alice Kelly, Head of Research, CeFPro.
8th February 2018

Second line: Effective challenge and validation

By Theresa Reynolds, Director of Operational Risk, Management Validation, Capital One.
8th February 2018

Reviewing the impact of EPS on FBOs

By Ji Qin, Head of Market Risk, MUFG and Andrew Fellingham, Director Group Head Market and Liquidity Risk, Sumitomo Mitsui Banking Corp. 
8th February 2018

Three lines of defense: Tactical approaches to effectively fulfil the role of functions

By David Ortiz, Managing Director, Enterprise Risk Management, BMO Financial Group.
6th February 2018

Model Risk in Commodities Markets

By Dr. Peter Leoni. 
6th February 2018

The cumulative impact of regulation and managing regional fragmentation

By Sue Kean, Chief Risk Officer, Old Mutual plc and Ebbe Negenman, Chief Risk Officer, Aegon Bank.