Global Financial Markets Intelligence

Global Financial Markets Intelligence

Model Validation, Control and Governance

Preventing model risk by innovating your validation process, data management and resource allocation

16-18 Jun 2014
M Hotel, Singapore

Conference Workshop

Workshop Title: Cases in Model Risk
At the end of the master class delegates will be comfortable with the key concepts of model risk and be able to describe a high-level framework for validating and verifying financial models. Delegates will be required to complete some reading prior to the masterclass.
Workshop Moderator: Richard Ayres
Company: CEO,Maroon Analytics, Singapore


Why You Should Attend

Model Validation, Control and Governance

Model validation is never new, but with increasing concern from the regulators, together with the drastic change of market landscape, it is essential for all financial institutions to evaluate their model validation and governance framework comprehensively. Model Validation, Control and Governance conference will have a 360 degree look at model validation, governance and model risk management for the APAC region. Topics are ranging from technical ones like validation approaches to organizational issues like centralization of validation functions.


Key Topics

  • HSBC demonstrate the roles of the audit department in model governance
  • Standard Chartered focus on maximazing the use of data
  • UBS discuss the best approach to accurately interpret data
  • CBA share its experience in building a cost effective model validation framework

  • Why Choose GFMI marcus evans?

    marcus evans specialises in the research and development of strategic events for senior business executives. From our international network of 63 offices, marcus evans produces over 1000 event days a year on strategic issues in corporate finance, telecommunications, technology, health, transportation, capital markets, human resources and business improvement.

    Above all, marcus evans provides clients with business information and knowledge which enables them to sustain a valuable competitive advantage and makes a positive contribution to their success.


    Event Sponsors
    Gold Sponsor
    FICO
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    Gold Sponsor
    FinancialCAD Corporation
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    Business Development Sponsor
    Murex S.A.S.
    Visit website >>




    Practical Insights From

    Saleem Husain
    Director, Risk
    Citi, Singapore

    Paul Bostock
    Head of Quantitative Risk and Valuation Group Asia Pacific
    HSBC, Hong Kong

    James Marinopoulos
    Head of Independent Validation Unit
    National Australia Bank, Australia

    Simon Goo
    Head of Group Risk Analytics
    UOB, Singapore

    Ankit Khandelwal
    Senior Consultant
    FICO

    Jan Rosenzweig
    Quantitative Head
    FINCAD Client Services

    Sriraghavan Rajamannar
    Head Risk Analytics, Integrated Risk
    Bank Danamon, Indonesia

    Vitthal Kulkarni
    Head of Treasury Analytics
    HDFC Bank

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    Event Contact

    For all enquiries regarding speaking, sponsoring and attending this conference contact:

    Cindy Cluny


    marcus evans Kuala Lumpur , Suite A-20-1, Level 20
    Hampshire Place Office, 157 Hampshire, 1, Jalan Mayang Sari
    50450 Kuala Lumpur , Malaysia

    Telephone:
    +603 2723 6745
    Fax: +603 2723 6699
    Email: CindyC@marcusevanskl.com