Global Financial Markets Intelligence

Global Financial Markets Intelligence
marcusevans > conferences > GFMI > upcoming business events
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  • Strategic Risk Management for Financial Institutions
    A 12 hour interactive course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    Online
    28 Feb-3 Mar 2022
  • Strategic Risk Management
    An interactive course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    Online
    14-17 Feb 2022
  • Securitization Masterclass
    A unique opportunity to investigate the practical steps involved in delivering and managing a transaction
    Banking, Finance and Insurance
    Paris
    28-29 Mar 2022
  • Reverse Stress Testing 2.0- Fourth Annual Masterclass
    A comprehensive 2 day course with a live webcast for anyone unable to travel
    Banking, Finance and Insurance
    London
    12-13 May 2022
  • Product Management for Financial Services
    A two-day course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    London
    8-9 Mar 2022
  • Product Management for Financial Services
    A 12 hour interactive course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    Online
    22-25 Feb 2022
  • NMD Modeling- Balance Sheet Management Considerations
    A two-day intensive workshop which includes a number of timely real-life examples of best/worst practices
    Banking, Finance and Insurance
    Nashville, TN
    11-12 Apr 2022
  • Mastering the Management of Cyber Security
    A two day course featuring numerous case studies and practical examples
    Banking, Finance and Insurance
    New York, NY
    23-24 Mar 2022
  • Market Best Practices in Counterparty Credit Risk
    A structured live online course delivered over 4 half-day sessions
    Banking, Finance and Insurance
    Online
    14-17 Feb 2022
  • 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
    Virtual
    Date to be confirmed
  • 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
  • Machine Learning for Derivatives Pricing and Algorithmic Trading
    The course includes a number of class exercises and case studies to illustrate real-life examples
    Banking, Finance and Insurance
    london
    29-30 Mar 2022
  • Live Online Workshop: NMD Modelling: Balance Sheet Management Considerations
    A structured online course delivered live over 4 half-day modules
    Banking, Finance and Insurance
    Online
    9-30 Mar 2022
  • Live Online Workshop: Managing a Bank Balance Sheet under Basel III/IV Constraints
    With a special focus on IRRBB and Funds & Liquidity Transfer Pricing
    Banking, Finance and Insurance
    Online
    6-9 Dec 2021
  • Live Online Workshop: Integrating FTP with ALM
    A structured online course delivered live over 4 half-day weekly modules
    Banking, Finance and Insurance
    Online
    2-23 Feb 2022
  • Live Online Workshop: Building a Sustainable Third-Party Risk Management (TPRM) Program
    A structured online course delivered in half day sessions over four days
    Banking, Finance and Insurance
    Online
    29-31 Mar 2022
  • Live Online Workshop: Best Practice Capital and Liquidity Planning
    A live online course delivered over 4 three hour modules
    Banking, Finance and Insurance
    Online
    17-20 May 2022
  • Live Online Training Course; Commodity Derivatives in Action
    A practical online course featuring numerous case studies that will be delivered over 4 half day modules
    Banking, Finance and Insurance
    Online
    22-25 Feb 2022
  • Live Online Training Course: Stress Testing for Banks
    A structured online course delivered live over four 3 hour sessions
    Banking, Finance and Insurance
    Online
    5-8 Apr 2022
  • Live Online Training Course: Machine Learning for Derivatives Pricing and Algorithmic Trading
    A 12 hour interactive course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    Online
    22-25 Mar 2022
  • 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
    6-8 Apr 2022
  • Live Online Training Course: Advanced Stress Testing & Scenario Analysis
    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
    25-28 Apr 2022
  • Live Online Course: Mastering the Management of Cyber Security
    A structured online course delivered over four three hour daily sessions
    Banking, Finance and Insurance
    Online
    8-11 Mar 2022
  • Live Online Course: Managing ESG Risks in Financial Institutions
    Institutions need to ensure that ESG criteria are integrated into the management framework, business profile and strategy
    Banking, Finance and Insurance
    Online
    14-16 Mar 2022
  • Live Online Course: Complying with ESG Requirements
    An interactive course comprised of presentations, case studies, multidirectional discussions and comprehensive exercises.
    Banking, Finance and Insurance
    Online
    13-14 Dec 2021
  • Interest Rate Risk in the Banking Book
    Attend the course in London, or join via our live webcast
    Banking, Finance and Insurance
    London + Online
    10-11 Mar 2022
  • Integrating FTP with ALM: Ensuring the Alignment Between Risk and Profitability Management
    A two-day intensive workshop which includes a number of timely real-life examples of best/worst practices
    Banking, Finance and Insurance
    Nashville, TN
    7-8 Apr 2022
  • Digital Transformation of Model Management
    Banks need to transform their model and data management in order to effectively manage their model risk
    Banking, Finance and Insurance
    New York, NY
    2-3 Jun 2022
  • Credit Risk Modeling Masterclass: Economic and regulatory objectives and CECL requirements
    A comprehensive and practical 2-day course providing examples and case studies
    Banking, Finance and Insurance
    New York, NY
    25-26 Apr 2022
  • Commodity Derivatives in Action
    The course includes a number of class exercises and case studies to illustrate real-life examples of derivatives in action
    Banking, Finance and Insurance
    Barcelona
    3-4 Mar 2022
  • Capital Management and Developing a Capital Strategy
    Stewardship and supervision of risks through tactical and strategic capital management
    Banking, Finance and Insurance
    Berlin
    14-15 Feb 2022
  • Building a Sustainable Third-Party Risk Management (TPRM) Program
    Recent events have served as a reminder that managing third-party risk is critical for any organization’s enterprise risk management processes
    Banking, Finance and Insurance
    New York, NY
    5-6 Apr 2022
  • Advanced Stress Testing & Scenario Analysis
    With a focus on regulatory requirements and internal risk management principles related to stress testing.
    Banking, Finance and Insurance
    New York, NY
    21-22 Apr 2022
  • 7th Edition Operational Risk Management
    Manage your operational risk and resiliency practices in the new operating environment whilst navigating the evolving digital transformation of your institution
    Banking, Finance and Insurance
    New York
    4-6 Apr 2022
  • 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
    13-15 Jun 2022
  • 5th Edition AML and Financial Crime for Financial Institutions
    Maintain resiliency of Financial Crime and AML programs whilst responding to COVID related threats
    Banking, Finance and Insurance
    New York
    7-8 Apr 2022
  • 3rd Annual Best Practices for Stress Testing in Financial Institutions
    Enhance and streamline practices within stress testing beyond the regulatory frameworks to efficiently return to BAU and manage the expected climate stress testing regulation
    Banking, Finance and Insurance
    New York/Live+
    31 Jan-2 Feb 2022
  • 2nd Edition Operational Excellence for Financial Institutions
    Strategies, tools and methodologies to drive Operational Excellence in the post COVID-19 environment
    Banking, Finance and Insurance
    New York
    31 Mar-1 Apr 2022
  • 19th Edition Model Risk
    Look into the next generation for MRM to create a mature, holistic framework alongside the latest developments in automation and ML model explainability.
    Banking, Finance and Insurance
    New York
    26-28 Jan 2022
  • 14th Edition Third Party Vendor Risk Management for Financial Institutions
    Effective testing, continuous monitoring and review of critical vendors and sub-contractors to maintain resilience of your supply chain
    Banking, Finance and Insurance
    nEW yORK
    28-2 Feb 2022
  • 10th Annual Retail Deposit Optimization and Strategic Management
    Growing and supporting the customer base via traditional and digital tools to maintain high levels of sticky deposits
    Banking, Finance and Insurance
    New York & Virtually
    14-16 Feb 2022
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