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Pan European Banking, Finance and Insurance conferences
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  • Operational and Technical Challenges for PRIIPs
    Overcoming the practical challenges involved in the generation and review of KIDs and compliance with PRIIPs

    Hilton Canary Wharf, London
    26-27 Jun 2017
  • 5th Annual Credit Risk Modelling under IFRS 9
    Each bank’s success in implementing IFRS 9 will be decided in 2017

    Hilton Canary Wharf, London
    29-30 Jun 2017
  • 7th Annual Funds Transfer Pricing and Balance Sheet Management
    Implement a forward looking FTP steering tool equipped to react to regulatory and market changes

    Hilton Canary Wharf, London
    13-15 Sep 2017
  • 5th Edition Optimising Fundamental Review of the Trading Book
    Examine recent developments in the FRTB addressing particular questions surrounding the P&L attribution test, capital floor, default risk charge and non-modellable risk factors

    London
    13-15 Sep 2017
  • Reforms to Revenue Recognition
    Practical implementation of the IFRS15 and ASC606

    London
    18-19 Sep 2017
  • 3rd Edition Risk Audit in Banking
    A deep-dive into auditing the major challenges for bank risk management departments, including IFRS9, FRTB, model risk and BCBS239

    London
    18-19 Sep 2017
  • 21st Annual Capital Management and Allocation
    Optimising capital allocation strategies to maintain competitiveness in the changing regulatory landscape

    London
    18-19 Sep 2017
  • Pricing in Personal Lines Insurance
    Best practices for pricing to remain competitive and profitable within personal lines insurance

    London
    21-22 Sep 2017
  • 2nd Annual Best Execution and Transparency under MiFID II
    Focused look at the final steps firms are taking to meet the best execution and pre and post trade transparency requirements

    London
    20-22 Sep 2017
  • Insurance ALM and Asset Allocation under Solvency II
    Devise asset management strategies to meet yield targets and obtain capital efficiency under the Solvency II rules

    London
    28-29 Sep 2017
  • Employee Engagement
    Optimize employee engagement, preserve your reputation and your employer brand

    Amsterdam
    27-29 Sep 2017
  • 2nd Annual MiFID II for Energy and Commodity Firms
    Understanding the technicalities of the ancillary activity exception and developing strategies as the deadline approaches

    London
    Date to be confirmed
  • Leveraged Lending in the Evolving Regulatory Environment
    Optimise your current leveraged lending strategies to prepare for new regulations and maintain competiveness

    London
    23-24 Nov 2017
  • Robotic Process Automation and Artificial Intelligence in Finance
    Drive your institution’s technological strategy forward, covering the impact on internal processes, customer-facing systems, and overall commercial strategy

    London
    23-24 Nov 2017
  • 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

    London
    27-28 Nov 2017
  • Global Banking, Finance and Insurance conferences
  • Operational and Technical Challenges for PRIIPs
    Overcoming the practical challenges involved in the generation and review of KIDs and compliance with PRIIPs

    Hilton Canary Wharf, London
    26-27 Jun 2017
  • 10th Edition Model Risk
    Optimizing model risk management to ensure maximum compliance with CCAR and DFAST and enhancing the role of internal audit

    Millennium Broadway, New York, NY
    26-28 Jun 2017
  • 3rd Annual Leveraged Lending in the Shifting Regulatory Environment
    Understand the latest trends in leveraged lending to maintain competitiveness and compliance

    New York, Ny
    28-30 Jun 2017
  • 5th Annual Credit Risk Modelling under IFRS 9
    Each bank’s success in implementing IFRS 9 will be decided in 2017

    Hilton Canary Wharf, London
    29-30 Jun 2017
  • Operational Impact of the OECD Common Reporting Standards
    Implementing information collection and reporting and managing the operational consequences for the business

    Suntec Convention Centre
    4-6 Jul 2017
  • Optimising Risk and Capital Management in Insurance
    Practical guidance for taking RBC from requirement to tool for risk management

    Singapore
    12-13 Jul 2017
  • Auditing Regulatory Reform in Banking
    Addressing the consequences of a complex regulatory environment for internal audit

    Suntec Convention and Exhibition Centre
    12-14 Jul 2017
  • InsurTech: Innovation, Corporate Strategy & Customer Engagement
    Transforming the Insurance Value Chain by Harnessing Disruptive Technologies and Capitalizing on Changing Consumer Habits

    NYC, New York
    19-20 Jul 2017
  • Distributed Ledger Innovation, Corporate Partnerships & Strategic Integration
    Bolstering a Digital Ecosystem via Blockchain Applications, FinTech Ventures & Customer Engagement

    New York, NY
    19-20 Jul 2017
  • 7th Annual Funds Transfer Pricing and Balance Sheet Management
    Implement a forward looking FTP steering tool equipped to react to regulatory and market changes

    Hilton Canary Wharf, London
    13-15 Sep 2017
  • 5th Edition Optimising Fundamental Review of the Trading Book
    Examine recent developments in the FRTB addressing particular questions surrounding the P&L attribution test, capital floor, default risk charge and non-modellable risk factors

    London
    13-15 Sep 2017
  • Implementing the Consolidated Audit Trail to Optimize Regulatory Reporting
    Leveraging technology and applying effective data management to ensure timely reporting of the CAT

    New York, NY
    13-15 Sep 2017
  • 21st Annual Capital Management and Allocation
    Optimising capital allocation strategies to maintain competitiveness in the changing regulatory landscape

    London
    18-19 Sep 2017
  • 3rd Edition Risk Audit in Banking
    A deep-dive into auditing the major challenges for bank risk management departments, including IFRS9, FRTB, model risk and BCBS239

    London
    18-19 Sep 2017
  • Reforms to Revenue Recognition
    Practical implementation of the IFRS15 and ASC606

    London
    18-19 Sep 2017
  • 6th Edition Third Party Risk for Financial Institutions
    Update your third party risk strategies to best manage the latest cyber threats and maximize your third party risk management

    San Francisco, CA
    18-20 Sep 2017
  • 6th Annual Capital Adequacy Strategy and Stress Testing Conference
    Optimizing capital management in the face of regulations

    New York, NY
    18-20 Sep 2017
  • 2nd Edition Fundamental Review of the Trading Book
    Ensuring effective implementation of the SA and IMA to minimize capital charges and guarantee regulatory compliance

    New York, NY
    18-20 Sep 2017
  • 10th Annual Internal Auditors
    Aligning corporate strategy, technology, audit quality and risk assurance to heighten internal audit performance

    Dubai
    18-20 Sep 2017
  • Pricing in Personal Lines Insurance
    Best practices for pricing to remain competitive and profitable within personal lines insurance

    London
    21-22 Sep 2017
  • 2nd Annual Best Execution and Transparency under MiFID II
    Focused look at the final steps firms are taking to meet the best execution and pre and post trade transparency requirements

    London
    20-22 Sep 2017
  • 2. Jahrestagung Risikodatenaggregation und Reporting in Banken
    Governance Strukturen, integrierte Daten- und Reportingarchitektur, Chancen durch BCBS 239, Integration von Finance & Risk, Herausforderungen und Chancen durch AnaCredit

    Radisson BLU Schwarzer Bock, Wiesbaden
    25-27 Sep 2017
  • Practical Implementation of Fundamental Review of the Trading Book
    Overcome challenges around data, P+L attribution and non modellable risk factors for effective and efficient implementation

    Singapore
    25-27 Sep 2017
  • 3rd Edition Design Thinking for Banks & Financial Services
    Deploying Human-Centered Financial Products to Strengthen the Customer Base and Transform the Organizational Mindset

    New York, NY
    27-28 Sep 2017
  • Insurance ALM and Asset Allocation under Solvency II
    Devise asset management strategies to meet yield targets and obtain capital efficiency under the Solvency II rules

    London
    28-29 Sep 2017
  • Employee Engagement
    Optimize employee engagement, preserve your reputation and your employer brand

    Amsterdam
    27-29 Sep 2017
  • 2nd Annual Trade Finance and Correspondent Banking Compliance
    Determine a realistic level of due diligence and risk mitigation for your trade and correspondent banking business

    Singapore
    11-12 Oct 2017
  • 3rd Edition: Advanced Model Validation
    Strengthening Model Validation Controls to Achieve Consistency in Scope and Depth, Conceptual Soundness, and Thrive Under New Regulatory Rigor

    New York, NY
    17-18 Oct 2017
  • East Coast Edition: Third Party Risk Management for Financial Institutions
    Integrating New Strategies, Technology, and Tools Into the Vendor Risk Management Framework to Combat Third Party Threats in the Digitalized Financial Landscape

    New York, NY
    1-2 Nov 2017
  • 2nd Annual MiFID II for Energy and Commodity Firms
    Understanding the technicalities of the ancillary activity exception and developing strategies as the deadline approaches

    London
    Date to be confirmed
  • Leveraged Lending in the Evolving Regulatory Environment
    Optimise your current leveraged lending strategies to prepare for new regulations and maintain competiveness

    London
    23-24 Nov 2017
  • Robotic Process Automation and Artificial Intelligence in Finance
    Drive your institution’s technological strategy forward, covering the impact on internal processes, customer-facing systems, and overall commercial strategy

    London
    23-24 Nov 2017
  • 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

    London
    27-28 Nov 2017