The financial crisis has highlighted the importance of good risk management. It is now more important than ever for banks, hedge funds, insurance companies and pension funds to stay on top of industry developments and ensure they comply with fast-changing regulation on capital, credit and market risk, liquidity and derivatives use.
Our global portfolio of risk management events meet those needs, as the premier meeting place for the risk community. We pride ourselves on delivering practitioner-focused content for the rapidly evolving discipline of financial risk management. The events use a variety of formats and are widely considered to be business critical.
The theme of this year's Convention is "Rise to the Moment", which reflects the expectations and challenges that risk managers around the world are facing. Featuring three days of learning, discussion, innovation, and collaboration, the event will continue the legacy of Convention, but in an engaging virtual format designed to accommodate the geographic diversity of the risk management community, as well as unique circumstances we have all experienced due to the global pandemic. Risk.Net subscribers are eligible for a 15% discount, use the promo code GARPRisknet21 at checkout.More information
In this timely webinar we will discuss the importance of building the relationship between the security office and compliance functions, delving into practical strategies and takeaways including:
- What needs to be on your organisation’s radar to ensure compliance on the regulatory front?
- How compliance and security can accurately identify vulnerabilities along with the resources and technologies needed to mitigate risk?
Sessions include operational resilience frameworks, implementation challenges, business continuity management, and third-party management.More information
Learn about the digital transformation and customer onboarding; data and operational risks in digital transformation; Technology and future outlook of digital transformation.More information
Sessions include the impact of low and negative rate challenges, the impact of AI on interest rate risk, and handling the Ibor transition.More information
As the pandemic advances through to 2021, this course will prepare participants to get the training needed as countries move, ‘From Pandemic Waves to Outbreak Control’ to help your institution respond effectively.More information
Join leading regulators, treasury and risk practitioners and OTC derivatives experts to discuss the outlook for Japanese derivatives, repo and securities markets; strategies in complying with new regulations, effective ways in collateral optimisation and innovative ways in managing trading costs.More information
Asia Risk is delighted to present the annual Asia Risk Congress, Asia's leading risk management, derivatives and regulation event. Attended by 1,000+ delegates, the event will discuss the latest on libor transition, regulatory developments, non-financial risk, and derivatives.More information
Essential of Operational Risk is designed to bring the in-depth, learning led content of Risk Training to an accessible online platform. Through videos, articles, audio content, and presentations, the training will provide you and your team with engaging content that can be accessed on-demand.More information