Global Financial Markets Intelligence

Global Financial Markets Intelligence
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  • 12th Edition Third Party Vendor Risk Management For Financial Institutions
    Actively monitoring critical vendors that provide key services to ensure resiliency across your supply chain and strategies to protect customer data in times of crisis
    Banking, Finance and Insurance
    New York
    10-11 Feb 2021
  • 17th Edition Model Risk
    Evaluate the implications of COVID-19 on model risk management whilst staying on top of the latest developments in ML and model inventory approaches.
    Banking, Finance and Insurance
    Virtual event
    24-25 Feb 2021
  • 24th Annual Bank Capital Management
    Examine responses to capital management and optimal deployment of resources throughout COVID-19 and with consideration to capital requirements stemming from “Basel IV”
    Banking, Finance and Insurance
    London
    4-5 Mar 2021
  • 2nd Annual Quantitative Modelling in Commodity Markets
    Build capability for advanced quantitative techniques such as machine learning for improved data cleaning, correlation and scenario modelling in the commodities markets
    Banking, Finance and Insurance
    London
    19-21 Apr 2021
  • 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
    20-22 Sep 2021
  • 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
    22-23 Sep 2021
  • 3rd Annual Benchmark Rates Reform in the Derivatives Market
    Address how global efforts to reform the benchmark rates and end Libor will impact derivatives valuations, legacy trades, and P&L volatility
    Banking, Finance and Insurance
    London
    3-5 Feb 2021
  • 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
    22-23 Apr 2021
  • 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
    7-9 Dec 2020
  • 5. Jahrestagung Automatisierte Rechnungsverarbeitung & Invoice Processing
    Standardisierung, Digitalisierung und Prozessoptimierung, Optimierung von Accounts Payable und P2P in Krisenzeiten, Einsatz von KI, Transformation des Rechnungswesens
    Banking, Finance and Insurance
    Park Inn by Radisson Köln City West
    28-29 Jan 2021
  • 6th Edition Credit Risk Modeling and Management
    Optimize your CECL methodologies, implementation and reporting efforts for an effective submission
    Banking, Finance and Insurance
    Chicago, IL
    20-22 Sep 2021
  • 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
    New York
    1-2 Feb 2021
  • 8th Annual Advancing Credit Risk Modelling for IFRS 9
    Review and refine IFRS 9 credit risk models in light of data, validation and scenario analysis of the macroeconomic effects of COVID 19
    Banking, Finance and Insurance
    Online
    17-19 Feb 2021
  • 9th Annual Retail Deposit Optimization and Strategic Management
    Maintaining a high quality, low cost and stable deposit portfolio in a changing economic environment
    Banking, Finance and Insurance
    New York City, NY
    22-23 Feb 2021
  • 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
    10-11 Jun 2021
  • Advanced Masterclass: Credit Risk, Capital and IFRS9
    A structured online course delivered over three 3 hour sessions
    Banking, Finance and Insurance
    Online
    16-18 Mar 2021
  • Asset & Liability Management: Moving Beyond the Model
    A structured online course delivered live over 4 half-day modules
    Banking, Finance and Insurance
    Online
    16 Mar-6 Apr 2021
  • Bank Capital and Liquidity Adequacy under Basel III and IV
    A comprehensive modular course delivered online over six intensive three hour sessions
    Banking, Finance and Insurance
    Online
    22-31 Mar 2021
  • Best Practice Capital and Liquidity Planning
    A live online course delivered over 4 three hour modules
    Banking, Finance and Insurance
    Online
    8-11 Feb 2021
  • 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
    Online
    22-25 Mar 2021
  • 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
    Online
    25-26 Jan 2021
  • 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
    9-11 Jun 2021
  • Enhancing your Market Risk Framework to Optimise Compliance with the FRTB
    Understanding and implementing the new capital requirements for market risk under the FRTB
    Banking, Finance and Insurance
    Online
    22-25 Feb 2021
  • Finalising post-crisis reforms- from Basel III to Basel IV
    A comprehensive overview/perspective of how banks need to tackle the latest prudential regulation
    Banking, Finance and Insurance
    Online
    11-14 May 2021
  • IBOR Transition and Risk Free Rates
    A structured online course delivered live over 4 three hour modules
    Banking, Finance and Insurance
    Online
    15-18 Feb 2021
  • 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
    22-25 Feb 2021
  • Interest Rate Risk in the Banking Book(IRRBB)
    A structured online course delivered over 4 three hour daily modules, with an optional module providing a deep-dive into the models discussed.
    Banking, Finance and Insurance
    Online
    12-16 Apr 2021
  • Live Online Course: 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
    Online
    8-11 Mar 2021
  • Live Online Course: The Basel Consolidated Framework
    This course delivered over 5 three hour modules provides a high-level overview of the consolidated framework, making use of the BCBS website to delve deeper into some of the standards
    Banking, Finance and Insurance
    Online
    22-26 Feb 2021
  • Live Online Course: Using FTP to Navigate Market Volatility
    A structured online course delivered over 4 half day modules
    Banking, Finance and Insurance
    Online
    21 Jan-11 Feb 2021
  • Live Online Training Course: Bank Asset-Liability Management, IRRBB Principles and Good Practice
    A structured online course delivered in half day sessions over four days
    Banking, Finance and Insurance
    Online
    12-21 Apr 2021
  • Live Online Training Course: Comprehensive Credit Risk Modeling Masterclass
    With a focus on Economic & Regulatory Objectives, CECL and COVID-19
    Banking, Finance and Insurance
    Online
    15-18 Feb 2021
  • Live Online Training Course: FP&A for Today and 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 with an emphasis on analytics. Delivered virtually over four 3 hour sessions.
    Banking, Finance and Insurance
    Online
    1-4 Feb 2021
  • 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
    2-5 Mar 2021
  • Live Online Training Course: Risk Management in Non-Financial Companies (NFC’s)
    Aligning risk with strategy and performance : A live online course delivered over three 4 hour sessions
    Banking, Finance and Insurance
    Online
    14-16 Dec 2020
  • Live Online Training Course: Stress Testing
    A structured online course delivered in four half day sessions over four days, focused on adapting stress testing to meet contemporary challenges
    Banking, Finance and Insurance
    Online
    12-15 Apr 2021
  • LIVE Virtual Training - Risk Management that Helps the Organization Succeed, Not Just Avoid Failure!
    Aligning Risk Strategy to Business Strategy
    Cross Industry
    10 AM CT - 1 PM CT
    19-21 Jan 2021
  • Managing Operational Risk Within the Financial Sector
    A structured online course delivered live over four weekly modules
    Banking, Finance and Insurance
    Online
    2-23 Mar 2021
  • 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
  • NMD Modelling: Balance Sheet Management Considerations
    A structured online course delivered live over 4 half-day modules
    Banking, Finance and Insurance
    Online
    18 Feb-11 Mar 2021
  • Operational Excellence for Financial Institutions
    Benchmark innovative tools, platforms and methodologies to maximize operational excellence in your firm
    Banking, Finance and Insurance
    Virtual
    21-23 Jun 2021
  • Stress Testing for Banks
    A structured online course delivered live over four half-day sessions
    Banking, Finance and Insurance
    Online
    19-22 Jan 2021
  • 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. Delivered over three sessions using an innovative online format.
    Banking, Finance and Insurance
    Online
    1-3 Feb 2021
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