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Banking Risk, Regulation and Compliance EMEA
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May 25, 2022
Reviewing the latest IFRS 17 trends including finalising plans, timelines and implementation
By Shannon Harris, Senior Research Executive, CeFPro
May 25, 2022
Climate-linked scenarios and credit risk modelling
By Giorgio Baldassarri, Global Head of Analytic Development Group, S&P Global Market Intelligence
May 25, 2022
Big data, small data: How to get from insights to action with data visualisation
May 25, 2022
Effective model risk and incorporating effective controls to guard against model errors and allow for quick response
By Paul Burnett, Global Head of Traded Risk Analytics, HSBC
May 25, 2022
Leveraging recovery and resolution as a business tool whilst ensuring compliance to regulatory demands
By Jason Penman, Head of Balance Sheet Management, NatWest Markets
May 25, 2022
Developing and testing business continuity plans for risk mitigation for supplier failure
By Tom Garrubba, Senior Director & CISO, Shared Assessments & The Santa Fe Group
May 25, 2022
CRD V: Some Pain, but Potentially a Lot of Gain
By Jeroen Van Doorsselaere, Vice President, Global Risk & Finance, Wolters Kluwer
May 25, 2022
Reviewing the regulatory agenda for liquidity risk and aligning changes to implement into BAU systems
By Amit Kalyanaraman, Head of Liquidity Risk (UK), Credit Suisse
May 25, 2022
Integrating fund transfer pricing with liquidity and interest rate risk management
By Hadrien Van Der Vaeren, Senior Manager, Avantage Reply
May 25, 2022
Aligning third party management with wider operational resilience frameworks and risk appetite statements
By Nick Brazier, Head of Third Party Management, Close Brothers & Anna Gurney, Head of Supplier Relationship Management, Close Brothers
May 25, 2022
Integration in balance sheet optimization
By Thomas Steiner, Partner, BearingPoint
May 25, 2022
Regulatory landscape – Increasing global cooperation and managing the regulatory agenda
By Paul Kennedy, Chief Risk Officer, National Bank of Kuwait
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