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Event
19 Jun 2014
Economy

2nd European Credit and Counterparty Risk Conference 2014

Credit and Counterparty Risk

The 2nd European Credit and Counterparty Risk Conference will bring together leading professionals from the banking, insurance and investment sectors from across Europe to discuss what is now and will be the innovative strategies for credit and counterparty risk, stress testing, credit portfolio management, Basel III requirements, embedding risk in organizational culture and many other topics facing senior executives today in the financial risk industry. The conference also offers an unparalleled networking opportunity, allowing you to meet senior representatives from banks, financial institutions, and insurance companies who are focusing on credit risk and risk strategies. Leading financial and banking experts in risk management will provide you with the practical tools and analytic techniques to make your risk portfolio a success.Key Benefits of AttendingDiscuss main economic and political forces driving the credit marketsFind out how to secure your business in turbulent times and analyse major factors affecting the industryExplore credit and counterparty credit risk modelsBuild new credit strategies and navigate through the financial crisisOutline key issues such as Basel III, stress testing, credit risk portfolio management, CVA/DVA, and risk modellingLearn how to hurdle the common challenges industry participants are bound to faceHear from banks and insurance companies who are already active and successful in credit risk in EuropeShare strategies with fellow decision makers and policy advisorsBenefit from conference`s experience in connecting banks and finance professionals across EuropeMeet and get connected with leading players from financial institutionsWho Will You MeetCROs, CFOs, Directors, Heads, General Managers, Sr. Management, and Managers of: Capital Management, Liquidity/Liquidity Risk Managers, Market Risk/Market Risk Managers, Portfolio Strategy, Retail Business Development, Credit Research, Asset/Liability Managers, Quantitative Analysts/Managers, Balance Sheet Managers Internal Audit, Compliance, Credit Risk, Credit Risk Modeling, Risk Analysis, Credit Portfolio Management, Ministries and Government representatives, Basel III professionals, Retail Credit Risk, Credit Risk Validation Analysis, Stress Testing

When

19 Jun 2014 @ 08:00 am

20 Jun 2014 @ 05:00 pm

Duration: 1 days, 9 hours


Where

Melia White House Hotel

195 Albany Street

Greater London

United Kingdom


Language

English en


Organised by

UMI - United Market Insight (deactivated)

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