Center for Financial Professionals

11th July 2018

Model risk insight from Model Risk Director, TIAA Bank

11th July 2018

Reviewing the role of the lines of defence in liquidity risk management and driving decision making

11th July 2018

Regulatory insight with CRO, Inter-American Development Bank

5th July 2018

Reviewing Industry best practice for reverse stress testing

By Assad Bouayoun, Senior XVA Quantitative Consultant at HSBC.
5th July 2018

The impacts of a rising rate environment

By Charlie Peng, SVP and Head of Market Risk Management Department, Bank of China USA.
5th July 2018

Through the lens of our clients: Embracing, adapting, and planning for a world of change

By Michael Botek, Global Market Manager, Citi.
3rd July 2018

Presentation – IFRS 17: Transition and business transformation

2nd July 2018

Demonstrating efficiency and value with diminishing resources and increased pressures

By Alice Kelly, Head of Research and Production, CeFPro.
2nd July 2018

Banks should pursue efficient and scalable “model factory” management

By Steve Turner, Managing Director, Jonathan ‘Wes’ West, Managing Director and Kaushik Deka, CTO, Novantas. 
2nd July 2018

Aligning stress testing with BAU practices for a more integrated view of risk

Presentation, by Jeff Simmons, MD, Head of Enterprise Risk Management, Bank of Tokyo Mitsubishi 
21st June 2018

Navigating the waters of new opportunities and making strategic business decisions to leverage technology

By Richard Crook, Head of Emerging Technology, RBS.
18th June 2018

Franchise Viability Risk – Pillar 2 Liquidity by the PRA

By John Vergel de Dios, Director, CIT Group.