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Risk Management in Financial Services

07. September - 08. September 2014

More about the Venue

SUMMARY

Key Topics

  • Strategies for Portfolio optimization and Diversification
  • Chief risk officer’s (CRO) Panel Discussion
  • Global risk scenario and its implications in the Middle east
  • Improving Credit risk modeling for achieving better Quality Credit
Take Outs
  • Understanding the regulators perspective
  • To hear the views of industry experts on the future trends in the market
  • Networking opportunities with the best and the bold in the industry
  • Hearing view points from international experts
Benefits
  • PANEL DISCUSSION: Data Security – Preventing Security Breaches through a Strong It Infrastructure
  • Future trends in the market
  • Coping with possible risks through standardised risk management models
  • Insights from experienced participants

Who Will You Meet?

People in Postions

CEOs, CFOs, CROs, SVPs, AGMs, Group Heads of Risk, Directors/Heads of Risk Management, Basel II Programme Directors, Basel II Program Directors, Heads of Credit Risk, Heads of Strategic Planning

Heads of Enterprise-Wide Risk Management, Heads of Market Risk, Heads of Regional Risk or International Risk, Heads of Compliance, Heads of Portfolio Management/Portfolio Managers, Heads of Operational Risk, Heads of Liquidity Risk

Directors/Managers supervision, Senior Managers Risk Management, Regulators, Lawyers and Consultants, Board of Directors’ responsible in the areas of Internal Controls, Risk measurement and compliance with laws and regulations

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