Global Banking
Credit Risk Management

22nd – 24th November 2023 | Brussels

In the realm of finance, effective credit risk management is of utmost importance for upholding financial stability and ensuring profitability. It is an ongoing process that demands continuous adaptation and strategic excellence, while carefully balancing opportunities and uncertainties within the dynamic global economy. Achieving customer prioritization hinges on seamless connectivity and innovative solutions that optimize the available data. During periods of economic growth, investing in credit risk management capabilities adds value and sets your organization apart, particularly when faced with economic downturns. By integrating cutting-edge technologies like AI and ML, alongside real-time actionable data, into your risk management model, you empower strategic decision-making and enhance the overall experience for all stakeholders, from borrowers to lenders. Brace yourself for an exhilarating journey of knowledge and collaboration, as we push the boundaries of what’s achievable and collectively shape the future of credit risk management.

Who should attend

Don’t miss out on the opportunity to participate in this conference, where you can acquire up-to-date techniques and best practices for proficiently managing credit risk. Esteemed experts will delve into crucial topics including credit scoring, loan underwriting, and portfolio management. Gain invaluable insights and strategies to guide your organization through the intricate terrain of credit risk management and enable well-informed decision-making. Seize this chance to learn from top industry professionals, network with your peers, and expand your knowledge base in the field.

CROs, CEOs, CFOs, COOs, VPs, MDs, Members of board, C-level, Senior/Global Vice Presidents,Global Heads, Directors, Department Heads and International Managers from Banking industry involved in:

  • Credit Risk
  • Trading Credit Risk
  • Credit Risk Control
  • Credit Risk Models
  • Credit Risk Analytics
  • Credit Risk Systems
  • Credit Risk Review
  • Credit Risk Validation
  • Credit Risk Monitoring
  • Counterparty Credit Risk Methodology
  • Risk Appetite Framework and Model
  • Capital Management
  • Stress Testing
  • Portfolio Models
  • Regulatory Strategy
  • IFRS 9 Regulation
  • AIRB Modelling
  • Internal Validation and Controls
  • Risk Reporting
  • Wholesale Credit and Lending Transformation
  • Credit Risk Management

Use discount code TFG2023-CROM for special conference rates.