Global Financial Markets Intelligence

Global Financial Markets Intelligence
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  • Mastering Derivative Use for Hedging and Risk Management
    Gain an understanding of using derivatives to hedge risk and gain a holistic view on how this will impact your firm’s risk profile
    Banking, Finance and Insurance
    Miami, FL
    24-25 Sep 2018
  • Current Expected Credit Loss (CECL) Modeling
    Practical guidance for modelers in financial institutions on issues of estimatiing expected credit losses for wholesale and retail portfolio's under the new FASB Accounting Standards Update 2006-13
    Banking, Finance and Insurance
    Chicago
    24-25 Sep 2018
  • 8. Jahrestagung Variantenmanagement im Maschinen- und Anlagenbau
    Richtiger Umgang mit steigenden Produktkomplexitäten und zunehmender Variantenanzahl – Etablierung von Automatisierten, ganzheitlichen End–to-End Prozessen und Modularisierung zur Verkürzung von Lieferzeiten, Kostenoptimierung und Qualitätssteigerung
    Manufacturing
    Pullman Stuttgart Fontana
    24-26 Sep 2018
  • 8th Edition Third Party Vendor Risk Management for Financial Institutions
    Advance your practical strategies for managing cyber risk, 4th party risk and regulatory compliance to develop a sophisticated and secure vendor risk management framework in your firm
    Banking, Finance and Insurance
    Sheraton Fisherman's Wharf Hotel, San Francisco, CA
    27-28 Sep 2018
  • 2nd Data Quality, Governance and Optimization in Financial Institutions
    Strategies to improve decision making and increase revenue through effective data management
    Banking, Finance and Insurance
    New York, NY
    27-28 Sep 2018
  • Digital Transformation in Banking
    Acquire the best practices and tools to build a customer-centric, data-driven institution to successfully enable digital disruption in banking and finance
    Banking, Finance and Insurance
    Bogota
    1-2 Oct 2018
  • Planification et Exécution de la Stratégie à l’ère du Digital - 4ème édition
    Maitriser l’exécution de la stratégie au service de la croissance organique et de l’agilité
    Cross Industry
    Paris
    1-3 Oct 2018
  • Audit Interne : Vers une fonction d’audit interne créatrice de valeur - 4ème Édition
    Au delà de l’assurance, transformer votre fonction audit pour créer de la valeur et pérenniser votre croissance
    Cross Industry
    Hotel California, Paris-Champs Elysees
    1-3 Oct 2018
  • Asset & Liability Management: Moving Beyond the Model
    A Comprehensive Perspective on the Measurement and Management of Interest Rate Risk, Liquidity Risk, Funds Transfer Pricing and the ALCO Process
    Banking, Finance and Insurance
    London
    3-4 Oct 2018
  • Stress Testing and Scenario Analysis: Best practices and new developments
    An up-to-date overview of regulatory requirements and innovative solutions to the open problems
    Banking, Finance and Insurance
    London
    4-5 Oct 2018
  • Liquidity Management: Governance, Scenarios, Cash Flows, Liquidity Gap, Funding Plans, Transfer Pools, & Ratios
    Conform to liquidity ratios and reporting mandates while managing balance sheet inherent cash inflows and outflows and determining the optimal asset, liability, and off-balance sheet composition needed under Basel III, Dodd-Frank and everyday business strategy and needs
    Banking, Finance and Insurance
    Panama City, Panama
    4-5 Oct 2018
  • Digital Transformation in Banking
    Acquire the best practices and tools to build a customer-centric, data-driven institution to successfully enable digital disruption in banking and finance
    Banking, Finance and Insurance
    Santiago
    4-5 Oct 2018
  • Practical Strategies for Capital Management and Allocation
    Strengthen the balance sheet and RoE to meet regulatory expectations whilst supporting the business
    Banking, Finance and Insurance
    Singapore
    3-5 Oct 2018
  • Model Validation & Stress Testing Masterclass with Special Focus on TRIM, EBA Stress Test, IFRS9 and FinTech Trends
    A comprehensive 2-day course, bridging the gap between IFRS9, regulatory and economic credit risk modelling
    Banking, Finance and Insurance
    Vienna
    8-9 Oct 2018
  • Best Practice Capital and Liquidity Planning
    Developing a play-book for ICAAP & ILAAP is crucial to bank strategy and profitability
    Banking, Finance and Insurance
    Frankfurt
    8-9 Oct 2018
  • Market Best Practices in Counterparty Credit Risk Managment for Derivatives
    A comprehensive overview of Counterparty Credir Risk
    Banking, Finance and Insurance
    Linguerama Centre, Paris
    11-12 Oct 2018
  • Reverse Stress Testing
    An in-depth discussion of ways to assess and enhance existing frameworks
    Banking, Finance and Insurance
    London
    15-16 Oct 2018
  • HFT, Latency, and Connectivity: Technology and Transformation
    Explore these changes and be prepared to add value in the transformation of the capital markets
    Banking, Finance and Insurance
    New York City
    15-16 Oct 2018
  • Funds Transfer Pricing: Risk Taking, Pricing and Transfer and the Implications for IRR, Liquidity Risk and Profitability Management
    FTP is an essential business management process for effective and meaningful risk and profitability management at all depository institutions
    Banking, Finance and Insurance
    The Betsy, Miami, FL
    18-19 Oct 2018
  • Capital Adequacy and Sustainability
    End to end strategy formulation and tactical foundation exploring and comparing the ICAAP and Stress Testing Program's
    Banking, Finance and Insurance
    Downtown Conference Center, New York, NY
    22-23 Oct 2018
  • 2nd Edition Practical Implementation of Operational Changes for IFRS 17
    Project manage your IFRS 17 implementation and effectively present and disclose your new financial statements to stakeholders
    Banking, Finance and Insurance
    Hilton Hotel
    24-26 Oct 2018
  • xVA: Toward a Unified Approach of Financial Resource Management
    Bridge the gap between xVA and resource management and understand how all the different valuation adjustments are fitting together
    Banking, Finance and Insurance
    London
    5-6 Nov 2018
  • Robotic Process Automation Program and Technology Best Practices
    A two day, hands on interactive workshop that will enable participants to learn, develop and select strategic, operational, and technical best practices for RPA technology
    Banking, Finance and Insurance
    San Francisco
    5-6 Nov 2018
  • Automation in AML Compliance and Modeling
    Optimizing efficiency and accuracy in Anti-Money-Laundering programs using emerging technologies
    Banking, Finance and Insurance
    New York, NY
    5-7 Nov 2018
  • Non-Maturity Deposit Modeling
    Reconciling the quantitative modeling problem with the intrinsic problems of risk and profitability management
    Banking, Finance and Insurance
    Bogota
    8-9 Nov 2018
  • Funds Transfer Pricing: Risk Taking, Pricing and Transfer and the Implications for IRR, Liquidity Risk and Profitability Management
    FTP is an essential business management process for effective and meaningful risk and profitability management at all depository institutions
    Banking, Finance and Insurance
    Santiago
    12-13 Nov 2018
  • Employee Engagement, Performance and Talent Management in the Financial Sector
    Optimise talent and generate new leaders at a time marked by uncertainty across the sector
    Banking, Finance and Insurance
    London
    12-13 Nov 2018
  • End-to-End Automatisierung und Digitalisierung in Banken und Versicherungen
    Front- to Backoffice - End-to-End Prozessoptimierung entlang der gesamten Customer Journey mit Hilfe innovativer Digitalisierungstechnologien und Prozesstools wie Robotic Process Automation, KI und Blockchain
    Banking, Finance and Insurance
    Radisson blu Schwarzer Bock, Wiesbaden
    13-14 Nov 2018
  • 2. Jahrestagung KI & Data Analytics in Manufacturing
    Deep & Machine Learning in der Produktion, Big Data, IIOT, Autonome Systeme in der Produktion, vernetzte Produktion, intelligente Automatisierung, Sensorik & Data Analytics
    Manufacturing
    Sofitel Berlin Kurfürstendamm
    13-14 Nov 2018
  • Machine Learning in Quant Finance
    Practical examples of how quants are driving machine learning forward by finding uses through data selection, and applying machine learning techniques such as regression and reinforcement learning
    Banking, Finance and Insurance
    London
    12-14 Nov 2018
  • CRD IV, CRD V, and Bank Capital Standards
    Implications from CRD IV and the November 2016 EU banking reform proposals
    Banking, Finance and Insurance
    London
    15-16 Nov 2018
  • Comprehensive Credit Risk Modelling Masterclass with special focus on IFRS 9, TRIM and Basel IV developments
    A comprehensive 2-day course, bridging the gap between IFRS 9, regulatory and economic credit risk modelling.
    Banking, Finance and Insurance
    Hilton Vienna Plaza, Vienna
    15-16 Nov 2018
  • Third Party Risk Management
    End-to-end best practice in a vendor risk management program
    Banking, Finance and Insurance
    New York City
    15-16 Nov 2018
  • Estimation and Validation of Credit Risk Parameters
    Understand the role that validation can fulfil to satisfy the multiple requirements associated with the development and implementation of credit risk models
    Banking, Finance and Insurance
    New York City
    19-20 Nov 2018
  • 2nd Edition SFTR Implementation
    Develop a working plan for SFTR to implement the regulation and prepare for reporting
    Banking, Finance and Insurance
    London
    19-21 Nov 2018
  • 4th Edition of Managing Interest Rate Risk Arising from Non-Trading Book Activities
    Address the final EBA IRRBB guidelines while mitigating the impact of the rising rates and the effects of these on behavioural models
    Banking, Finance and Insurance
    Marriott West India Quay, London
    19-21 Nov 2018
  • Stochastic Dynamic Programming for the Energy Sector
    Implementing Stochastic Dynamic Programming for energy sector assets
    Banking, Finance and Insurance
    London
    26-27 Nov 2018
  • 12. Jahrestagung IT Demand und Portfolio Management
    Agile Methoden, IT Demand- und Projektportfoliosteuerung, effektive Governance, Zusammenspiel Demand- und Portfoliomanagement, IT-Ressourcenmanagement, Neuausrichtung der Demand- und Portfolio Organisation, Digitalisierung
    Telecommunications and IT
    Sofitel Berlin Kurfürstendam
    26-28 Nov 2018
  • 6. Jahrestagung Strategische Planung und effizientes Controlling in industrieller Forschung & Entwicklung – Dynamik und Flexibilität im Fokus
    Entwicklung und Umsetzung eines ganzheitlichen Ansatzes für die Planung, Budgetierung und das Controlling von F & E, um innovative Projekte zielkostenorientiert zu steuern und voranzutreiben
    Manufacturing
    Hotel Mondial am Dom, Köln
    26-28 Nov 2018
  • 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 on front office trading and capital
    Banking, Finance and Insurance
    London
    26-28 Nov 2018
  • 8th Annual Operational Risk Management
    Develop risk management strategies to improve resilience in cyber risk, conduct, and third party risk, and optimise your operational risk management strategy
    Banking, Finance and Insurance
    Marriott West India Quay, London
    26-28 Nov 2018
  • 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
    Banking, Finance and Insurance
    Singapore
    27-29 Nov 2018
  • Statistical Sampling for Test of Controls, Compliance & Fraud
    Application of a mathematical approach to Internal Audit Testing increases the effectiveness of the audit team, supports the audit conclusions, and engages management in improving controls.
    Banking, Finance and Insurance
    Milan
    28-29 Nov 2018
  • Non-Maturity Deposit Modeling
    Reconciling the quantitative modeling problem with the intrinsic problems of risk and profitability management
    Banking, Finance and Insurance
    Downtown Conference Center, New York, NY
    28-29 Nov 2018
  • New Technology & Cyber Risk Masterclass
    With an emphasis on Robotic Process Automation (RPA) and Blockchain
    Banking, Finance and Insurance
    Marriott Courtyard, Toronto, ON
    28-30 Nov 2018
  • XVA: Latest Developments in OTC Derivatives Pricing
    The Role of XVA in Pricing of OTC Derivatives
    Banking, Finance and Insurance
    Mexico City
    29-30 Nov 2018
  • Automation and Standardisation of Derivatives Trade Data and Reporting
    Practical examples of how standardisation and interoperability are revolutionising trade data storage and reporting
    Banking, Finance and Insurance
    London
    28-30 Nov 2018
  • Customer Insight and Analytics for Financial Institutions
    Creating actionable customer insights and analytics to drive the business in the post-GDPR environment
    Banking, Finance and Insurance
    London
    Date to be confirmed
  • 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
    Banking, Finance and Insurance
    London
    29-30 Nov 2018
  • Digital Transformation in Transaction Banking
    Best practices for customizing client experiences, lowering digitalization costs and utilizing emerging technologies
    Banking, Finance and Insurance
    New York
    28-30 Nov 2018
  • 4ª Edición Innovación en Cash Management para corporativos en LATAM
    Cultivando una cultura innovadora para quedarse a la vanguardia de productos de cash más digitales, maximizar rentabilidad y la satisfacción del cliente
    Banking, Finance and Insurance
    Miami, FL
    28-30 Nov 2018
  • Understanding the Measurement and Management of Market Risk
    An ideal course for anyone who works with market risk managers on projects, audits or executive committee’s
    Banking, Finance and Insurance
    London
    3-4 Dec 2018
  • CCR and CCP Risk Management
    An overview of the evolution of OTC Central Clearing, regulatory initiatives, and the implications for the risk landscape
    Banking, Finance and Insurance
    London
    3-4 Dec 2018
  • Current Expected Credit Loss (CECL) Modelling
    Practical guidance for modellers in financial institutions on issues of estimating expected credit losses for wholesale and retail portfolios under the new FASB Accounting Standards Update 2016-13
    Banking, Finance and Insurance
    San Francisco, CA
    3-4 Dec 2018
  • Effective Enterprise Risk Management for Banks
    Master ERM within your institution to combat existing and emerging risks
    Banking, Finance and Insurance
    The Betsy Hotel, Miami, FL
    3-4 Dec 2018
  • Digital Automation via AI and RPA in Financial Institutions
    Strategies to optimize operational efficiency in financial institutions through robotics and intelligent automation
    Banking, Finance and Insurance
    Atlanta
    3-5 Dec 2018
  • Examining the Impact of SOFR on Rate Strategy
    Clarifying timelines, understanding your IBOR exposures and developing fallback language to simplify the transition to SOFR
    Banking, Finance and Insurance
    New York
    3-5 Dec 2018
  • 5th Edition CECL Methodologies, Implementation and Reporting
    Optimize your practical knowledge of CECL and its implementation to ensure your modeling and accounting standards are faultlessly executed to achieve regulatory compliance
    Banking, Finance and Insurance
    New York, NY
    3-5 Dec 2018
  • 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
    Banking, Finance and Insurance
    London
    5-7 Dec 2018
  • 2nd Annual Interest Rate Risk in the Banking Book
    Position your banking book to optimize strategy in the current interest rate environment to minimize IRR
    Banking, Finance and Insurance
    New York, NY
    5-7 Dec 2018
  • 5th Annual Liquidity and Funding Risk Management
    Strengthen your liquidity management strategies to ensure continued LCR compliance, leverage AI to accelerate reporting and prepare for a changing rate market’s effect on liquidity composition.
    Banking, Finance and Insurance
    New York
    5-7 Dec 2018
  • The New EU Securitisation Regulation
    An in-depth overview of the fundamental changes to the regulation of securitisations in the EU
    Banking, Finance and Insurance
    Amsterdam
    6-7 Dec 2018
  • Best Practise Capital and Liquidity Planning
    Developing a playbook for ICAAP & ILAAP is crucial to bank strategy and profitability
    Banking, Finance and Insurance
    The Movenpick Hotel, Frankfurt
    6-7 Dec 2018
  • Interest Rate Risk in the Banking Book
    Understanding the fundamentals of IRRBB and how it differs from interest rate risk in the trading book
    Banking, Finance and Insurance
    Linguarama Centre, Berlin
    10-11 Dec 2018
  • Advancing your ALM Framework and Leveraging Funds Transfer Pricing
    Understanding the multiple regulatory requirements and their implications for balance sheet management
    Banking, Finance and Insurance
    Seattle, WA
    10-12 Dec 2018
  • FP&A for Today & Tomorrow
    Leverage the latest best practices and technologies to use FP&A to steer the business to greater successes in the short, medium, and long term
    Banking, Finance and Insurance
    Chicago
    11-12 Dec 2018
  • Best Practices in Model Validation and Model Risk Management
    All aspects of model validation are covered, including the model management lifecycle, regulatory requirements, organizational requirements, specific model validation tests and design, and validation documentation
    Banking, Finance and Insurance
    Chicago, IL
    17-18 Jan 2019
  • 8. Jahrestagung Optimierung des internationalen Ersatzteilmanagements im Maschinen- und Anlagenbau 2019
    Erfolgsfaktoren im Spannungsfeld Ersatzteilmanagement und Logistik: Auf dem Weg zu einer global integrierten Serviceorganisation
    Manufacturing
    Sofitel Berlin Kurfürstendamm
    21-22 Jan 2019
  • Best Practices in Capital Management and CCAR
    Examining methods to leverage capital allocation, relief and policy to drive profitability whilst reacting to a changing regulatory landscape
    Banking, Finance and Insurance
    New York
    23-25 Jan 2019
  • 13. Jahrestagung Corporate Process Management 2019
    Digitales Prozessmanagement, Methoden zur Prozessoptimierung, Robotic Process Automation (RPA), Business Process Management, Prozessinnovation
    Cross Industry
    Novotel am Tiergarten, Berlin
    28-29 Jan 2019
  • 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
    Banking, Finance and Insurance
    San Francisco, CA
    28-30 Jan 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
    Banking, Finance and Insurance
    Singapore
    28-30 Jan 2019
  • 7th Annual Retail Deposit Optimization and Strategic Management
    Innovative strategies to grow your retail deposit portfolio in the competitive, rising rate environment
    Banking, Finance and Insurance
    Dallas, TX
    4-6 Feb 2019
  • 3rd Edition Digital Transformation in Wealth Management
    Reach new market segments; construct responsive ecosystems with inbuilt feedback channels and continue innovating offerings
    Banking, Finance and Insurance
    New York, NY
    4-6 Feb 2019
  • 9th Edition Third Party Vendor Risk Management for Financial Institutions
    Develop practical methods to optimally identify, combat and mitigate third party risks to maximize operational and cost effectiveness in your firm
    Banking, Finance and Insurance
    New York, NY
    11-13 Feb 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
    Banking, Finance and Insurance
    London
    13-15 Feb 2019
  • ILAAP Stress Testing and Liquidity Risk Management
    Advance ILAAP stress testing to strengthen liquidity risk frameworks and funding plans
    Banking, Finance and Insurance
    London
    Date to be confirmed
  • Best Practices 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
    Banking, Finance and Insurance
    New York, NY
    25-27 Feb 2019
  • Asset & Liability Management: Moving Beyond the Model
    A Comprehensive Perspective on the Measurement and Management of Interest Rate Risk, Liquidity Risk, Funds Transfer Pricing and the ALCO Process
    Banking, Finance and Insurance
    Buenos Aires
    8-9 Mar 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.
    Banking, Finance and Insurance
    London
    11-13 Mar 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
    Banking, Finance and Insurance
    London
    13-15 Mar 2019
  • Strategic Risk Management for Transformation in Insurance
    Practical examples of how insurers manage and monitor exposure to risk emerging from change in technology, regulation, and the business
    Banking, Finance and Insurance
    London
    13-15 May 2019
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