Global Financial Markets Intelligence

Global Financial Markets Intelligence
marcusevans > conferences > GFMI > upcoming business events
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  • Marcus Evans Live+ (GFMI)
    Take advantage of our online live stream of the event, enabling you to attend all event presentations.
    Banking, Finance and Insurance
    Online
    Date to be confirmed
  • marcus evans Live+ (KL Capital Markets)
    Take advantage of our online live stream of the event, enabling you to attend all event presentations.
    Banking, Finance and Insurance
    Online
    Date to be confirmed
  • Operational Excellence for Financial Institutions
    Benchmark innovative tools, platforms and methodologies to maximize operational excellence in your firm
    Banking, Finance and Insurance
    New York
    7-9 Dec 2020
  • 3rd Edition Interest Rate Risk Management Strategies
    Develop an optimal interest rate risk management strategy to attract savers and borrowers while staying liquid and profitable in the current economic climate
    Banking, Finance and Insurance
    New York City
    2-4 Dec 2020
  • 2nd Annual Best Practices for Stress Testing in Financial Institutions
    Strengthen methodologies and frameworks for ad hoc, daily and annual stress tests to empower better decision making whilst overcoming COVID-19.
    Banking, Finance and Insurance
    New York, NY
    2-4 Dec 2020
  • Benchmark Rates Reform
    The time is now to plan for the future of the benchmark rates through early adoption and an understanding of the core challenges that financial markets face due to the transition.
    Banking, Finance and Insurance
    Singapore
    23-24 Nov 2020
  • 2nd Annual Benchmark Rate Reform for Treasury and Accounting
    Impact of the transition to risk free rates on fair value of financial instruments, hedge accounting and P&L volatility
    Banking, Finance and Insurance
    London
    18-20 Nov 2020
  • 23rd Annual Financial Sector Compensation and Benefits
    Develop compensation and benefits policy that succeeds in being fair, sustainable and competitive through leveraging HR data and appropriately responding to the latest regulation
    Banking, Finance and Insurance
    London
    18-20 Nov 2020
  • 4th Edition Financial Crime and AML
    Update your financial crime strategies to increase effectiveness and efficiency to respond to the latest threats
    Banking, Finance and Insurance
    New York, NY
    16-17 Nov 2020
  • Advanced Management of Banking Book Risk
    Effectively govern banking book risk through advanced behavioural modelling for enhanced balance sheet structure and risk management positions
    Banking, Finance and Insurance
    London
    12-13 Nov 2020
  • Digital Transformation of Model Management
    Transforming the infrastructure and the processes of model management with distributed governance and normalization of data and models for effective model risk management with AI and ML
    Banking, Finance and Insurance
    London
    9-10 Nov 2020
  • 3rd Annual RPA and AI in the Financial Market
    Drive large scale adoption of RPA and progress towards intelligent automation such as machine learning
    Banking, Finance and Insurance
    London Marriott Hotel Canary Wharf
    19-20 Oct 2020
  • 19th Annual Liquidity Management
    Drive daily optimisation of liquidity metrics such as intraday liquidity in light of pressure from other risk and capital measures
    Banking, Finance and Insurance
    Canary Riverside Plaza Hotel, London
    19-20 Oct 2020
  • Marcus Evans Live+ (NA GFMI)
    Take advantage of our online live stream of the event, enabling you to attend all event presentations.
    Banking, Finance and Insurance
    Online
    Date to be confirmed
  • Non-Maturity Deposit Modeling
    Ensure your institution is prepared to account for and model non-maturity deposits (NMDs)
    Banking, Finance and Insurance
    London
    8-9 Oct 2020
  • The Future of Banking
    Innovate, transform and disrupt to become a truly digital bank
    Banking, Finance and Insurance
    New York
    7-8 Oct 2020
  • 2nd Edition Digital Supply Chain Transformation & The Imperative for a New Model: Innovating Out of The Economic Shock
    Enhance supply chain innovation for better future resilience, while focusing on short-term actions to respond to the immediate challenge
    Cross Industry
    Amsterdam
    5-7 Oct 2020
  • Continuous Auditing & Continuous Control Monitoring
    Enhance the effectiveness and efficiency of your audit team by introducing continuous auditing as one of your audit approaches. Foster the adoption of continuous monitoring techniques by your managers to strengthen supervision over critical company processes
    Banking, Finance and Insurance
    Zurich
    6-7 Oct 2020
  • Data Mining and Engineering in Finance
    Drive data engineering and mining initiatives to build an entire ecosystem of quality data for trade and risk in the financial market
    Banking, Finance and Insurance
    London
    5-6 Oct 2020
  • 10th Edition Consumer-Focused R&D and Innovation in the Wake of Economic Downturn
    Reassess your R&D Strategy to Deal with the Impacts of COVID-19
    Cross Industry
    Berlin
    28-30 Sep 2020
  • 6th Edition Operational Risk Management
    Strengthening operational risk management via effective supervision of key risk indicators and controls, dynamic governance and awareness of the best approaches to tackle emerging risks
    Banking, Finance and Insurance
    San Francisco, CA
    28-30 Sep 2020
  • IBOR Transition and Risk-Free Rates
    Ensure that your institution is prepared for the move away from Libor
    Banking, Finance and Insurance
    Downtown Conference Center, New York, NY
    29-30 Sep 2020
  • 16th Edition Model Risk
    Providing firms with the necessary tools to integrate AI/ML capabilities, stay compliant with SR11-7 and enhance model risk governance via effective model inventory and deployment.
    Banking, Finance and Insurance
    New York City
    23-25 Sep 2020
  • Operational Resilience for Financial Institutions
    Leverage end-to-end business continuity and disaster recovery strategies to ensure your critical functions are always operational and minimize the impact on customers
    Banking, Finance and Insurance
    New York City
    23-25 Sep 2020
  • 4th Edition LIBOR Transition in Loans and Derivatives
    Switching both new and legacy LIBOR contracts to the new Risk-Free Rates across futures, swaptions, structured products, securities and loans in preparation for 2021.
    Banking, Finance and Insurance
    New York, NY
    21-23 Sep 2020
  • 4th Edition Digital Transformation in Wealth Management
    Enhancing ROI in digital advice and products to deliver holistic customer experience and grow the business
    Banking, Finance and Insurance
    NEW YORK, USA
    21-23 Sep 2020
  • Managing Operational and Cyber Resiliency
    Understand how to improve your technology and vendor risk management capabilities and improve your preparedness for operational shocks
    Banking, Finance and Insurance
    New York City, NY
    21-22 Sep 2020
  • Understanding and Mitigating Human Risk within Financial Services
    The biggest risk facing most organisations is Human Risk; this course will explore what it is and how we can best mitigate it
    Banking, Finance and Insurance
    London
    18-19 Sep 2020
  • 8th Annual Advancing Credit Risk Modelling for IFRS 9
    Refine IFRS 9 credit risk models with feedback from data, validation and audit insights to increase stability and sensitivity to different economic scenarios in light of COVID 19
    Banking, Finance and Insurance
    London
    16-18 Sep 2020
  • 7th Annual Treasury Innovation Forum
    Strengthen your treasury strategies to ensure resilient liquidity management and regulatory compliance in this uncertain economic environment
    Banking, Finance and Insurance
    New York City, NY
    16-18 Sep 2020
  • 10th Annual Funds Transfer Pricing and Balance Sheet Management
    Establish how banks are using FTP to achieve balance sheet optimisation and manage P&L volatility due to side effects from COVID-19
    Banking, Finance and Insurance
    Frankfurt
    14-16 Sep 2020
  • Counterparty Credit Risk Modeling and Management
    Integrate regulatory requirements as well as market changes and disruptions such as LIBOR, CCP risk and the COVID-19 into your counterparty credit risk models  
    Banking, Finance and Insurance
    New York City
    14-16 Sep 2020
  • Reverse Stress Testing
    An in-depth discussion of ways to assess and enhance existing frameworks
    Banking, Finance and Insurance
    London
    15-16 Sep 2020
  • Managing Operational Risk Within the Financial Sector
    This course will help firms protect themselves in this increasingly challenging risk environment, by establishing an effective framework for identifying, assessing, monitoring, managing and reporting all their operational risks
    Banking, Finance and Insurance
    Berlin
    14-15 Sep 2020
  • Business Continuity and Scenario Planning
    A two-day programme with detailed business continuity case studies. Attend in person or via a live webcast of the event
    Banking, Finance and Insurance
    London
    14-15 Sep 2020
  • 3rd Annual Benchmark Rates Reform in the Derivatives Market
    Address how global effort to reform the benchmark rates and end Libor will impact derivatives valuations and legacy trades
    Banking, Finance and Insurance
    London
    14-15 Sep 2020
  • 2nd Edition Initial Margin Optimization and Collateral Management: Phase 5 & 6
    Effective initial margin implementation through efficient derivative pricing within collateral management, to reduce costs and gain competitiveness in the current market
    Banking, Finance and Insurance
    New York, NY, USA
    Date to be confirmed
  • 6th Annual Retail Deposit Optimization and Strategic Management, Canada
    Pricing and product innovation strategies to win core deposits and maintain margins in the increasingly competitive, low interest rate market while balancing NCCF, LCR and NSFR requirements
    Banking, Finance and Insurance
    Toronto, ON
    8-10 Sep 2020
  • Third Party Risk Management
    End-to-end best practice in a vendor risk management program
    Banking, Finance and Insurance
    New York City, NY
    9-10 Sep 2020
  • Capital Management and Developing a Capital Strategy
    Stewardship and supervision of risks through tactical and strategic capital management
    Banking, Finance and Insurance
    Frankfurt
    7-8 Sep 2020
  • 7th Annual Leveraged Lending in the Shifting Economic and Regulatory Environment
    Position your loans and portfolios to deal with emerging risks, such as sliding documentation terms and LIBOR, to stay profitable and compliant in the next credit cycle
    Banking, Finance and Insurance
    New York City
    2-3 Sep 2020
  • 2nd Annual Machine Learning in Quantitative Finance
    Utilize Machine Learning tools within quantitative finance whilst meeting investors’ and regulators’ expectations
    Banking, Finance and Insurance
    New York, NY
    1-2 Sep 2020
  • Basilea-IRRBB: Implementación de modelos de gestión de riesgos de balance (ALM) y precios de transferencia (FTP) para cumplir con las nuevas expectativas regulatorias
    Entender los requerimientos regulatorios y sus implicaciones para la gestión del balance. Implementar y apalancar las herramientas de ALM (IRRBB, Liquidez) y FTP para lograr un crecimiento rentable y sostenible.
    Banking, Finance and Insurance
    Online
    30-31 Jul 2020
  • Best Practice Capital and Liquidity Planning
    Developing a play-book for ICAAP & ILAAP is crucial to bank strategy and profitability
    Banking, Finance and Insurance
    Online
    30-31 Jul 2020
  • Key Risk Indicators within Operational Risk
    Enhance your ability to manage existing and emerging risks by establishing an effective KRI framework and integrating it into the overall operational risk management programme
    Banking, Finance and Insurance
    Online
    27-28 Jul 2020
  • Machine Learning and its Applications for Financial Institutions
    A Comprehensive Examination of Machine Learning and its Applications within Financial Markets including Risk Modelling, Valuation, and Market Predictions. Delivered online over the course of four half-day sessions.
    Banking, Finance and Insurance
    Online
    21-24 Jul 2020
  • Operational Risk Management
    Implementing a Basel Compliant Operational Risk Management Program
    Banking, Finance and Insurance
    Online
    16-17 Jul 2020
  • Credit Risk Modeling Masterclass: Economic and Regulatory Objectives and CECL Requirements
    A comprehensive 2-day course covering the essentials of credit risk modeling, including CECL, and regulatory and economic credit risk modeling
    Banking, Finance and Insurance
    Online
    13-14 Jul 2020
  • Live Online Training Course: Using FTP to Navigate Market Volatility
    A structured online course delivered in four half-day sessions over 4 weeks
    Banking, Finance and Insurance
    Online
    23 Jun-14 Jul 2020
  • Live Online Training Course: Model Governance in the Age of Data Science and AI
    Engage with the growing use of data science and AI within financial institutions by implementing a new model governance framework. This course is offered in an entirely online format
    Banking, Finance and Insurance
    Online
    9-10 Jul 2020
  • DIGITAL WEEK - Liquidity and Funding Risk Management
    Strengthen your treasury strategies to ensure resilient liquidity management during the COVID-19 pandemic
    Banking, Finance and Insurance
    Virtual - Online
    6-10 Jul 2020
  • Balance Sheet Optimisation under Basel III
    Analyse case studies demonstrating some of the measures employed by banks to better manage and optimise their balance sheet
    Banking, Finance and Insurance
    Online
    2-3 Jul 2020
  • Live Online Training Course: Stress Testing for Banks
    A structured online course delivered in four half-day sessions over 4 weeks
    Banking, Finance and Insurance
    Online
    25 Jun-1 Jul 2020
  • DIGITAL WEEK - Operational Resilience for Financial Institutions
    Fast and effective response strategies to minimize customer impact from COVID-19 and future pandemics
    Banking, Finance and Insurance
    Virtual- Online
    22-26 Jun 2020
  • DIGITAL WEEK - Leveraged Lending
    Position your loans and portfolios to deal with emerging risks to stay profitable and compliant in the current Covid-19 pandemic
    Banking, Finance and Insurance
    Virtual - Online
    22-26 Jun 2020
  • DIGITAL WEEK - Model Risk
    Gain necessary tools to enhance model risk management strategies whilst overcoming the implications of COVID-19
    Banking, Finance and Insurance
    Virtual - Online
    22-26 Jun 2020
  • 6th Edition Credit Risk Modeling and Management
    Optimize your CECL methodologies, implementation and reporting efforts for an effective submission
    Banking, Finance and Insurance
    Chicago
    Date to be confirmed
  • Continuous Auditing & Data Analytics
    Enhance the effectiveness and efficiency of your audit team by introducing continuous auditing as one of your audit approaches. Statistical Data Analysis will provide the basis for risk assessment, process control, six-sigma, accountability and fraud. This course is offered on a fully digital basis.
    Banking, Finance and Insurance
    Online
    15-17 Jun 2020
  • Climate Risk within the Financial Services Industry
    An innovative climate risk course delivered by our expert co-trainers Gerhard Mulder and Stephanie Gnissios over four half day sessions. Timings: June 8-11, 8:30 - 12:30 BST
    Banking, Finance and Insurance
    Online
    8-11 Jun 2020
  • Advancing your ALM Framework and Leveraging Funds Transfer Pricing
    Understanding the multiple regulatory requirements and their implications for balance sheet management to enable profitable and sustainable growth, driving business results through ALM and FTP
    Banking, Finance and Insurance
    Online
    8-9 Jun 2020
  • 2nd Edition Intelligent Automation for Financial Institutions
    Integrate cognitive technologies with RPA at an enterprise-wide scale for operational excellence and an enhanced customer experience to achieve a clear ROI
    Banking, Finance and Insurance
    New York
    Date to be confirmed
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