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North American Banking, Finance and Insurance conferences
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Global Banking, Finance and Insurance conferences
  • 13th Edition Model Risk
    Strengthening model risk practices by utilizing next generation strategies to create a stronger model governance framework whilst ensuring maximum regulatory compliance

    San Francisco, CA
    28-30 Jan 2019
  • 18th Annual Liquidity Management
    Optimise liquidity metrics such as LCR, NSFR and intraday liquidity to balance regulations alongside commercial demands at group and entity level

    London
    13-15 Mar 2019
  • 1st Edition Automating Fraud and Financial Crime Prevention in Retail Banking
    Combat financial crime arising from AML, credit, payment and card fraud with automation and AI

    London
    20-22 Feb 2019
  • 22nd Annual Financial Sector Compensation and Benefits
    Ensure the effective balance of stringent regulatory requirements stemming from CRDV and sales compensation while improving transparency and fairness for pay structure across the organisation

    London
    20-21 May 2019
  • 2nd Annual Managing Long Term Contracts under IFRS 17
    Develop appropriate controls, systems and models in line with IFRS 17 to minimise the impact of the new accounting regulation on long term contracts.

    London
    11-13 Mar 2019
  • 2nd Edition RPA and AI in Financial Institutions
    Create a mature strategy to develop the business case and scale up the roadmap for RPA and AI within financial institutions

    London
    28-29 Mar 2019
  • 3. Jahrestagung Integrierte Daten- und Reportingarchitekturen in Banken
    Verbesserte Governance der Risiko-, Finance- und regulatorischen Daten in einem integrierten, zentralen Steuerungsframework unter Einsatz fachlicher Metadaten im Rahmen eines integrierten Datenhaushalts.

    Novotel am Tiergarten, Berlin
    18-19 Feb 2019
  • 3rd Annual Impact of CCP Risk and Initial Margin on Counterparty Risk Management
    Strategic risk management to minimise the implications of CCP default and bilateral initial margin rules of CCR

    London
    10-12 Apr 2019
  • 3rd Edition Digital Transformation in Wealth Management
    Reach new market segments; construct responsive ecosystems with inbuilt feedback channels and continue innovating offerings

    New York, NY
    4-6 Feb 2019
  • 3rd Edition Optimising Data Governance, Quality and Consistency in Financial Services
    Create a governance strategy for a data driven business and harness the power of AI, machine learning, and analytics

    Singapore
    25-26 Mar 2019
  • 4th Advanced Model Validation
    Fortifying a Robust Model Validation Framework that Keeps Pace with Emerging Technologies and Regulatory Rigor

    New York, NY
    20-21 Mar 2019
  • 5th Annual Data Quality and Consistency in Financial Institutions
    Leverage business focused approaches when embedding data governance processes and tools to achieve a quantifiable difference to data quality

    London
    13-15 Feb 2019
  • 5th Annual Retail Deposit Optimization and Strategic Management, Canada
    Product innovation, pricing and digital banking strategies to win core deposits in the competitive, rising rate environment

    Toronto, ON
    24-26 Apr 2019
  • 6th Edition Impact of the Fundamental Review in the Trading Book
    Address the difference between the standardised and internal model approach under the FRTB, along with questions surrounding NMRFs, and the impact of requirements from business perspective

    London
    20-22 May 2019
  • 6th Edition Leveraged Lending in Shifting Regulatory and Economic Environment
    Examining the latest trends in leveraged lending to maintain competitiveness and compliance

    New York
    10-12 Apr 2019
  • 7th Annual Best practices for Capital Management and CCAR
    Examining methods to leverage capital allocation, relief and policy to drive profitability whilst reacting to a changing regulatory landscape

    New York
    23-25 Jan 2019
  • 7th Annual Retail Deposit Optimization and Strategic Management
    Innovative strategies to grow your retail deposit portfolio in the competitive, rising rate environment

    Dallas, TX
    4-6 Feb 2019
  • 8th Edition Risk Data Aggregation and Risk Reporting
    See continued efforts placed to achieve sustainable and full compliance of BCBS 239 with focus on data lineage, taxonomy, and consistency

    London
    24-26 Apr 2019
  • Benchmark Rates Reform: Valuations, Discounting and Forward Risk
    Prepare for the impact of the shift from Libor and Eonia on derivatives valuations and legacy inventory

    London
    13-15 Mar 2019
  • Best Practices in Claims Management
    Utilize digital capabilities to streamline claims lifecycles, decrease fraud response times and provide holistic multi-channel claims management to an ever-changing client base

    Chicago
    10-12 Apr 2019
  • Cashless Middle East
    Crafting a Seamless Cashless Society by Adapting to Payment Innovations within the GCC’s Growing Digital Space

    Dubai
    25-26 Feb 2019
  • Customer Centricity in Claims Management
    Practical case studies of how insurers are prioritising customer centricity in claims through streamlining of the claims lifecycle, leveraging data and use of RPA and AI technologies.

    London
    24-26 Jun 2019
  • Derivative Sales and Trading Transformation
    Systematising derivatives trading and sales with automation, data visualisation tools, AI, and new machines like chatbots

    London
    11-13 Mar 2019
  • Digital Automation via AI and RPA in Financial Institutions
    Strategies to optimize operational efficiency in financial institutions through robotics and intelligent automation

    Atlanta
    19-21 Jun 2019
  • Digital Transformation in Talent Acquisition in Financial institutions
    Facilitate digital transformation at various stages of the recruitment process to acquire the best talent and minimize operational costs

    New York, NY
    25-27 Feb 2019
  • Impact of the Transition to Risk Free Rates on Hedge Accounting
    Account for the changing fair value measurement and hedged relationships of instruments under the new RFRs

    London
    20-22 May 2019
  • Initial Margin, MVA and SIMM
    Prepare your derivatives trading business and practical implications of the uncleared margin rules

    Singapore
    8-10 May 2019
  • Interest Rate Risk in the Banking Book
    See practical examples of modelling approaches for EVE and NII, and understand the assumptions and behavioural scenarios involved

    Singapore
    20-22 Feb 2019
  • Machine Learning and Artificial Intelligence for Quantitative Analytics
    Leverage deep neural networks and reinforcement learning for faster and more accurate trading and risk models

    Singapore
    25-26 Feb 2019
  • Machine Learning in Quant Finance
    Determine strategic applications for machine learning to minimize modelling uncertainties, optimize data management and increase profit

    New York
    29 Apr-1 May 2019
  • Model Risk Management in Banking
    Advance towards an industry standard for model risk management which includes a model governance framework, model inventory and means to quantify model risk

    London
    24-26 Apr 2019
  • Practical Implementation of RPA, AI and Machine Learning in Financial Services
    Integrate RPA and machine learning to create innovative solutions for the business and leverage new technology around NLP, OCR and chatbots

    Singapore
    28-30 Jan 2019
  • Regulatory Reporting: Data, Automation, and Operational Efficiency
    Automate and improve data quality for accurate, timely, and efficient regulatory reporting in a dynamic and complex regulatory environment

    Singapore
    25-27 Sep 2019
  • Vendor Risk Management For Financial Institutions
    Tackle data accountability, vendor assessment processes, and optimal strategies to build a functional and efficient third party risk management framework across your financial institution

    London
    18-19 Feb 2019