Global Financial Markets Intelligence

Global Financial Markets Intelligence
marcusevans > conferences > GFMI > upcoming business events
Event name sort upsort down
Sectorsort upsort down
Datesort upsort down
  • Validating Market Models: TRIM
    Best practises for mitigating model risk in market models in light of regulatory developments particularly TRIM
    Banking, Finance and Insurance
    Marriott Marble Arch, London
    30 Nov-1 Dec 2017
  • Transforming and Optimising Risk Operations
    Creating an effective, adaptable Risk Management function
    Banking, Finance and Insurance
    London
    12-14 Feb 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
    18-19 Jun 2018
  • Stratégies d’Innovation - 10ème édition
    Créer l’environnement propice à l’accélération de l’innovation pour favoriser la croissance
    Cross Industry
    Paris
    20-22 Mar 2018
  • Stochastic Dynamic Programming for the Energy Sector
    Implementing Stochastic Dynamic Programming for energy sector assets
    Banking, Finance and Insurance
    London
    14-15 May 2018
  • Robotic Process Automation and Artificial Intelligence in Financial Services
    Drive your institution’s technological strategy forward, covering the impact on internal processes, customer-facing systems, and overall commercial strategy
    Banking, Finance and Insurance
    London
    14-16 Mar 2018
  • Reverse Stress Testing
    An in-depth discussion of ways to assess and enhance existing frameworks
    Banking, Finance and Insurance
    London
    8-9 Mar 2018
  • Practical Approaches to Liquidity Stress Testing: Capital, Leverage and Liquidity
    Understand your institution’s liquidity needs in time of stress for various target operating models, fulfilling both regulatory and economic objectives
    Banking, Finance and Insurance
    The Betsy Hotel, Miami, FL
    4-5 Dec 2017
  • Prévention des Risques et Lutte Contre la Corruption - 6ème édition
    Optimiser vos processus, Protéger votre réputation.
    Legal
    Hilton Paris La Défense
    29 Nov-1 Dec 2017
  • Optimization of Faster Payments Products for Financial Institutions
    Adopting an effective faster payments system to maximize transaction speed, and client retention and stay ahead of competition in the payment innovation space
    Banking, Finance and Insurance
    New York, NY
    29-31 Jan 2018
  • Optimise user experience and digital design to increase customer centricity for financial institutions
    Creating a human-centric design process within the digital banking environment
    Banking, Finance and Insurance
    London
    26-27 Apr 2018
  • Optimise the Implementation of the SFTR
    Gain practical insights to best prepare systems and update reporting for the new regulatory requirement
    Banking, Finance and Insurance
    London
    22-23 Feb 2018
  • Operational Risk Management
    Implementing a Basel Compliant Operational Risk Management Program
    Banking, Finance and Insurance
    Downtown Conference Center, New York, NY
    4-5 Dec 2017
  • Operational and Technical Implementation of IFRS 16
    Practical strategies to manage the implementation of IFRS 16, including interpreting technical accounting standards and carrying out operational reform
    Banking, Finance and Insurance
    Berlin
    23-24 Apr 2018
  • 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
    Downtown Conference Center, New York, NY
    26-27 Feb 2018
  • Managing Insurance Contracts under IFRS 17
    Establish an effective plan to tackle the IFRS 17 in line with the outcome of the impact studies conducted by insurers
    Banking, Finance and Insurance
    CCT Venues Plus-Bank Street, Canary Wharf, London
    4-6 Dec 2017
  • Leveraged Lending in the Evolving Regulatory Environment
    Optimise your current leveraged lending strategies to prepare for new regulations and maintain competiveness
    Banking, Finance and Insurance
    London
    Date to be confirmed
  • Interest Rate Risk in the Banking Book
    Maximizing ALM, deposits and balance sheet management to ensure that banking book assets are optimized
    Banking, Finance and Insurance
    Downtown Conference Center| New York, NY
    4-6 Dec 2017
  • 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
    San Francisco, CA
    14-15 May 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
    Novotel Hotel, Santiago
    17-18 May 2018
  • Integrating Capital, Liquidity, Leverage and Planning
    Create a capital plan for both normal and non-normal markets
    Banking, Finance and Insurance
    Mexico City
    11-12 Jul 2018
  • IFRS 9 Impacts on Credit Risk Modelling
    Ensure your credit risk models are consistent with IFRS9 standards
    Banking, Finance and Insurance
    To be confirmed
    Date to be confirmed
  • 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
    International Convention Center, Cancun
    29-30 Nov 2017
  • Funds Transfer Pricing: Risk Taking, Pricing & Transfer and the Implications for IRR, Liquidity Risk & 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
    Downtown Conference Center, New York, NY
    3-4 May 2018
  • Forecasting Pre-Provision Net Revenue (PPNR) and losses on Other Than Temporarily Impaired Securities (OTTI)
    Understanding the two most significant key components of capital planning; PPNR and losses including OTTI
    Banking, Finance and Insurance
    New York City, USA
    4-5 Dec 2017
  • Excellence in Liquidity Risk Management
    The supervisory requirements and industry practice, including the latest NSFR and LCR requirements
    Banking, Finance and Insurance
    London
    4-5 Dec 2017
  • Excellence in Corporate Treasury Management
    Optimise your fundraising, hedging and cash management strategies to create a more efficient, stable and flexible corporate treasury
    Cross Industry
    London
    22-23 Mar 2018
  • Enterprise Strategies: Building a Strategic Response to the Impact of Basel III on Client Liabilities
    How to design an enterprise approach that aligns bank and client in the face of changing regulatory demands on liquidity
    Banking, Finance and Insurance
    London
    27-28 Nov 2017
  • 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
    19-21 Feb 2018
  • Effective Enterprise Risk Management for Banks
    Master ERM within your institution to combat existing and emerging risks
    Banking, Finance and Insurance
    Miami
    19-20 Mar 2018
  • Effective Capital Management
    Practical tools and sound advice to tackle changing regulatory requirements
    Banking, Finance and Insurance
    Bogota
    9-10 Apr 2018
  • Economic Capital Modeling for Insurers
    A comprehensive overview of the evolving role of internal capital modeling in the insurance industry, providing a deep dive on cutting-edge modeling techniques, complete with interactive case studies on effectively integrating economic capital into the strategic decision making process
    Banking, Finance and Insurance
    New York City
    19-20 Apr 2018
  • Digital Transformation in Wealth Management
    Innovating, adapting and integrating digital trends in wealth management to ensure a competitive advantage
    Banking, Finance and Insurance
    New York, NY
    7-9 Feb 2018
  • Deposit Modeling Workshop
    Think critically about behavioral models for non-maturity deposits
    Banking, Finance and Insurance
    The Downtown Conference Center, New York, NY
    7-8 Dec 2017
  • Deposit Modeling
    Think critically about behavioral models for non-maturity deposits
    Banking, Finance and Insurance
    Buenos Aires
    5-6 Mar 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
    UCLA Conference Center, Los Angeles, CA
    5-6 Mar 2018
  • Comprehensive Economic Capital and Credit Risk Modelling Masterclass
    Practical guidance for financial institutions on issues of estimating key credit risk parameters for wholesale and retail portfolios that meet both economic and regulatory objectives
    Banking, Finance and Insurance
    London
    7-8 Dec 2017
  • Best Practise Capital and Liquidity Planning
    Developing a playbook forICAAP & ILAAP is crucial to bank strategy and profitability
    Banking, Finance and Insurance
    Downtown Conference Center, New York, NY
    9-10 Apr 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
    26-27 Feb 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
    Downtown Conference Center, New York, NY
    3-4 Apr 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
    14-15 Jun 2018
  • Analysing and Managing Commodity Risk
    Addressing the challenges of managing the risks that may arise through proprietary and counterparty trading in the commodity markets sector
    Banking, Finance and Insurance
    London
    23-24 Nov 2017
  • Adjusting Stochastic Volatility Processes for Negative Interest Rate Scenarios
    Assessing the impact of uncertain volatility and lower boundaries on the valuation and risk management of OTC derivatives
    Banking, Finance and Insurance
    Milan
    14-15 Dec 2017
  • Accounting Impact of Implementing CECL, the Credit Impairment Standard that Promises to be a Game Changer
    How to Chart a Path to Implementing CECL and Avoid Pitfalls along the Way
    Banking, Finance and Insurance
    New York City
    19-20 Feb 2018
  • 9th Annual Practical KVA and CVA Forum
    Practical strategies to best incorporate KVA into day-to-day derivative trading and understand the impact of MVA on capital
    Business Process and Outsourcing
    London
    19-21 Mar 2018
  • 8th Annual Operational Risk Management in the Digital Age
    Effectively incorporating the latest cyber risk management and SMA changes to optimise your operational risk management strategy
    Banking, Finance and Insurance
    London
    28 May-30 Mar 2018
  • 7th Edition Third Party Vendor Risk Management for Financial Institutions
    Maximize your governance, cyber risk and regulatory compliance to ensure a robust third party risk management framework
    Banking, Finance and Insurance
    New York, NY
    12-14 Feb 2018
  • 7th Edition Risk Data Aggregation and Risk Reporting
    Gain Insight into self-assessment for BCBS239 in addition to clarity on taxonomy, data lineage and consistency
    Banking, Finance and Insurance
    London
    25-27 Apr 2018
  • 7th Edition Leveraging New Technology and Innovation in Cash Management
    Understand the new cash management innovations and offer more competitive cash management products to your core customers
    Banking, Finance and Insurance
    Singapore
    9-11 Apr 2018
  • 6th Edition Nordic Asset Allocation: Investing in Alternative Asset Classes
    Achieve a diversified portfolio by investing in alternative assets in line with risk appetite
    Banking, Finance and Insurance
    Stockholm
    7-9 Mar 2018
  • 6th Annual Retail Deposit Optimization and Strategic Management
    Winning Core Deposits in an Increasingly Competitive Environment
    Banking, Finance and Insurance
    New York, NY
    5-7 Feb 2018
  • 5th Edition Fair and Prudent Valuation for Derivatives
    Practically optimise your Valuation governance to best incorporate the latest XVAs and regulatory requirements, in order to remain competitive
    Banking, Finance and Insurance
    Marriott West India Quay, London
    20-22 Nov 2017
  • 4th Edition Leveraged Lending in the Shifting Regulatory Environment
    Remaining competitive and innovative in the current market
    Banking, Finance and Insurance
    Downtown Conference Center | New York, NY
    30 Nov-1 Dec 2017
  • 4th Annual Proactive Operational Risk Management
    Optimizing operational risk management to better tackle emerging risks
    Banking, Finance and Insurance
    New York, NY
    5-7 Feb 2018
  • 4th Annual Data Quality and Consistency in Banking
    Lay out the necessary foundations for data quality to enable business projects to succeed
    Banking, Finance and Insurance
    London
    19-21 Mar 2018
  • 3rd Edition IRB Models, the Standardised Approach for Credit Risk, and Capital Floors
    Develop credit risk models under the latest requirements mandated by the IRB and standardised approach
    Banking, Finance and Insurance
    Marriot Marble Arch, London
    27-28 Nov 2017
  • 3rd Edition CECL Methodologies, Implementation and Reporting
    Examining Key Methodology and Implementation Challenges to Ensure a Comprehensive CECL Process Across the Institution
    Banking, Finance and Insurance
    New York, NY
    4-6 Dec 2017
  • 2nd Edition Operational Challenges for GDPR Implementation in Banks
    Take proactive steps to implement the GDPR by considering the impact that the new data protection legislation will have on banks.
    Banking, Finance and Insurance
    Marriott West India Quay, Central London
    20-22 Nov 2017
  • 2nd Edition Managing Interest Rate Risk in the Banking Book
    Establish effective governance of the IRRBB in relation to recent regulatory developments.
    Banking, Finance and Insurance
    Marriot West India Quay, Canary Wharf, London
    22-24 Nov 2017
  • 2nd Edition Lending Products and Processes in Retail Banking
    Innovate lending product design and processes under the traditional boundaries of a retail bank to maintain profitability and better the end-to-end customer journey in this competitive market
    Banking, Finance and Insurance
    London
    19-20 Feb 2018
  • 2nd Edition Insurance & Pension Asset Allocation
    Winning strategies for insurers and pension providers to manage risk and improve returns on their investments
    Banking, Finance and Insurance
    New York, NY
    26-28 Feb 2018
  • 2nd Edition Implementing the Consolidated Audit Trail to Optimize Regulatory Reporting
    Assessing the regulation and specification to prepare for the imminent implementation of CAT
    Banking, Finance and Insurance
    New York, NY
    26-28 Feb 2018
  • 2nd Edition Impact of CCP Risk and Initial Margin on Counterparty Risk Management
    The implications of CCP default, resolution, and risk management and bilateral initial margin rules for CCR
    Banking, Finance and Insurance
    Marriott West India Quay, London
    27-28 Nov 2017
  • 2da. Edición de Desarrollo, Validación y Gestión de Riesgo de Modelos en LATAM
    Comprender y mejorar las estrategias de riesgo de modelo en la región
    Banking, Finance and Insurance
    Santiago
    Date to be confirmed
  • 17th Annual Liquidity Management
    Advance liquidity management strategies to achieve stability whilst the NSFR, LCR and intraday liquidity develop in a changing market and regulatory environment
    Banking, Finance and Insurance
    London
    14-16 Mar 2018
  • 11th Edition Model Risk
    Enhancing model risk management for non-financial models, DFAST models and optimizing the role of internal audit
    Banking, Finance and Insurance
    San Francisco, CA
    24-26 Jan 2018
  • GFMI : careers

    why join GFMI ?

    People join us for many different reasons. But whatever your reasons we'd like to add to them. Read on, and discover how.


    meet our staff


    The best way to learn about GFMI is through the worlds of the people who know us best - the people who work here

    GFMI: latest press