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Managing Exposures in Credit Risk: Non-Performing Loans

See how to manage and prevent NPL exposure in line with the latest ECB guidelines

Dates to be confirmed
Prague, Czech Republic

Why You Should Attend

Managing Exposures in Credit Risk: Non-Performing Loans

This marcus evans conference will address how to best manage and prevent credit risk exposures issuing from non-performing loans, with a focus on the new guidelines from regulators.

Since 2008, the banking sector has seen high levels of non-performing loans across Europe. Whilst these issues have broadly dissipated within central Europe, the periphery countries, particularly in the south and east, still struggle with a systematically large percentage of NPL. The quantity of NPLs in affected countries is both an impediment to the strengthening of the European banking union, and presents one of the largest threats to the banking sectors of the affected countries. Adding to IFRS 9 from 2018, the EBA and European Commission have issued macro-prudential guidelines upon the management and provisioning of NPLs, along with incentives to effectively deal with loans that have defaulted. Understanding how to operate within the new guidelines and how to best use the incentives provided will be crucial in improving the overall performance of banks in the coming years. To avoid additional NPL build up and manage the problems already present surrounding the periphery, these guidelines must be understood and put to work actively combating the existing and possible build up of NPLs on the balance sheet.

Key Topics

  • Latest regulatory guidance around NPLs and its impact on credit risk management
  • Manage exposure to drive away non performing loans through better frameworks and monitoring
  • Examine the effect of stricter default definitions under IFRS 9 on NPLs and assess this within SREP
  • Treat loss given default arising from non performing loans by restructuring and offloading risk
  • Previous Attendees Include

    • AlphaBank
    • BankofIreland
    • Barclays
    • BBVA
    • Belfius
    • BNPParibas
    • CreditSuisse
    • DanskeBank
    • Deloitte
    • HSBC
    • ING
    • Landsbankinn
    • MetroBank
    • MorganStanley
    • NedbankSydbank
    • Nordea
    • Rabobank
    • RBS
    • Santander
    • UBS
    • Unicredit

    Why Choose 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.

    Practical Insights From

    Adam Ziarkiewicz
    Director Of Credit Portfolio Management Department
    Bank Pocztowy

    Kumbi Chikosha
    Deputy Head, Credit Risk Management

    Francesco Giuliani
    Deutsche Bank

    Elena Minduksheva
    Deputy CFO
    International Investment Bank

    Petr Gapko
    Senior Risk Manager and Chief Economist
    Moneta Money Bank

    Parmod Garg
    Head of Risk
    Habib Bank AG Zurich

    Click Here For Full Agenda

    Voice of Our Customers
    • “Extremely well presented course – informative and valuable to the whole group.” Nordea Bank
    • ‘Good speakers, great topic…Definitely useful for my practice.’ SNS Reaal
    • “Some excellent insights and key hearings! Great to hear different perspectives on this exciting topic!” Barclays Africa
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    Event Contact

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

    Anastasia Zardili

    Axel-Springer-Str. 54b, 6. Etage
    10117, Berlin

    + 49 308 906 1202
    Fax: +49 308 906 1221