INSIGHTS

May 25, 2022

Continuous monitoring of vendor and third parties for full portfolio analysis of risks

By Ken Wolckenhauer, VP, Vendor Management, Nordea Bank 
May 25, 2022

Third-party impacts on financial websites: Insights and data

By Idan Cohen, CEO & Co-founder, Reflectiz
May 25, 2022

The innovation illusion

By Daniel Moore, Chief Risk Officer, Scotiabank
May 25, 2022

A vision of the end-state analytics architecture for your firm

By Stevan Maglic, SVP, Head of Quantitative Risk Analytics, Regions Bank
May 25, 2022

Increasing cyber resilience in an advancing threat landscape

By Philip Masqullette, SVP, CRO, Ulster Savings Bank
May 25, 2022

Effective management of model risk for end to end management

By Wei Ma, Head of Model Risk Management, Sumitomo Mitsui Banking Corp
May 25, 2022

Reviewing the impact of Brexit on liquidity risk and potential changes to business strategy to stay ahead

By Phil Headley, Managing Director, Regulatory Reporting, Mizuho
May 25, 2022

Reviewing compliance risk, technology and resiliency

By Liv Watson, Sr. Director of Strategic Customer Initiatives, Workiva
May 25, 2022

Credit risk or social engineering?

By Brandon Davies, Former Head of Market Risk, Barclays
May 25, 2022

Beginners guide to navigating a regulatory inspection

By Fiachra Crean, Head of Supplier Relationship Management, AIB
May 25, 2022

Managing risks prior to onboarding through integration of procurement and vendor risk management

By Bob Koszkalda, Director, Third Party Risk Management, SVP, KeyBank
May 25, 2022

Innovation in risk & operational resilience – assessing progress made and challenges ahead

By Shannon Harris, Senior Research Executive, CeFPro

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