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What are our clients saying about us
testimonials


  • "Very interesting discussions and presentations. The big turnout from different industry players us definitely an asset as it allows you to benchmark yourself with your peers" -
    Risk Advisor, KBC

  • "We appreciate the diversity of the subject approached. It gave us an update of the situation covering regulation, new products and the impact" -
    Trade Finance Manager, Commerzbank

  • "Well organised, pleasant organisers and time well managed "-
    Global Head of Trade, Barclays

  • "All of the sessions were very information for me, if I have the chance I would like to join again" -
    Deputy GM head of EMEA Department - Global Trade, Mizuho

  • "Overall experience is good "-
    CFO-Corporate Finance, Tata Capital Ltd

  • "Program was outlined and planned in a systematic manner and at desired level of expertise." -
    Asst VP- Treasury, Tata Capital Financial Services Ltd

  • "Knowledge & experience sharing in FTP implementation/application by each speaker & valuable panel discussion." -
    ALM & Investment, BII

  • "Useful, actual, practical" -
    Head of ALM, OJSC Bank URALSIB

  • "The conference was very professionally managed, good follow up from the coordinators"-
    Manager Finance Systems, ANZ

  • "I found the conference to be one of the most useful I have attended so it was well worth the effort."-
    Managing Director, CVA Desk, Santander



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Conference events       Training events
  • 6th Annual Liquidity, ALM and FTP
    Align ALM and FTP practices to perform in line with current regulatory metrics such as IRRBB, NSFR, and LCR
    Singapore
    Singapore
    5-6 Sep 2019
  • 11th Annual MENA CFO: Finance in the ‘New World’
    Claiming market leadership by playing a niche specialised game in revolutionising the future of finance
    United Arab Emirates
    Dubai
    16-17 Sep 2019
  • 9th Annual Funds Transfer Pricing and Balance Sheet Management
    Embed funding costs at the right granularity in FTP models to accurately reflect the impact of regulation and macroeconomic changes as the industry prepares for a risk free rate
    United Kingdom
    London
    16-18 Sep 2019
  • 9th Edition Derivative Funding and Valuations: IBOR Transition, Initial Margin and Capital
    Advance valuation adjustment methodology whilst considering impact from changing capital and margin rules and the move towards a risk free rate
    United Kingdom
    London
    16-18 Sep 2019
  • 3rd Edition Fundamental Review of the Trading Book
    Understand the requirements under the finale FTRB rule, to avoid unnecessary capital charges within market risk and maintain profitability of products
    United States of America
    New York, NY
    16-18 Sep 2019
  • 6th Annual Liquidity and Funding Risk Management
    Increase effectiveness of stress-testing, diversify funding sources and optimize balance sheets to maintain profits
    United States of America
    New York
    16-18 Sep 2019
  • 9th Edition Insurance Asset Management
    Build an insurance portfolio that accommodates market changes as the industry moves towards the end of a credit cycle and prepares for geopolitical risk
    Netherlands
    Amsterdam
    18-20 Sep 2019
  • 23rd Annual Bank Capital Management
    Steer capital management in reaction to assumptions made on the impact of ‘Basel IV’ and macroeconomic changes
    United Kingdom
    Marriott Hotel Canary Wharf, London
    18-20 Sep 2019
  • Best practices for Stress Testing in Financial Institutions
    Quantify major risks, enhance data quality and streamline stress testing, to generate more value for your firm
    United States of America
    New York, NY
    18-20 Sep 2019
  • 3rd Derivative Funding and Valuation
    Discover industry practices for derivative valuation and compare the best practices for XVA methodologies with other banks
    Singapore
    Singapore
    18-20 Sep 2019
  • Regulatory Reporting: Data, Automation, and Operational Efficiency
    Automate and improve data quality for accurate, timely, and efficient regulatory reporting in a dynamic and complex regulatory environment
    Singapore
    Singapore
    25-27 Sep 2019
  • 10th Edition Third Party Vendor Risk Management for Financial Institutions
    Best practices in 3rd and 4th party vendor management to optimize vendor performance and protect your financial institution from risk
    United States of America
    San Francisco
    30 Sep-2 Oct 2019
  • Advancing Financial Modeling and Monitoring
    Balance regulatory compliance with business needs by implementing consistent model development strategies across product lines
    United States of America
    New York
    2-4 Oct 2019
  • 12th Annual Internal Auditors
    Internal Audit 3.0: Embracing the Next Generation of Audit in line with Innovation, Disruption and Emerging Risks in today’s Digital Age
    United Arab Emirates
    The Address Dubai Marina Hotel
    7-9 Oct 2019
  • 6th Edition Impact of the Fundamental Review in the Trading Book
    Establish approaches for FRTB implementation across the globe with focus on the P&L attribution test, default risk charge and non-modellable risk factors
    United Kingdom
    London
    9-11 Oct 2019
  • Emerging AML Tech
    Transforming AML Procedures with AI, ML, and Other Emerging Tech to Maintain Compliance Amid Growing Fraud and Regulatory Updates
    United States of America
    New York, NY
    23-24 Oct 2019
  • 3rd Annual Data Quality Management for Financial Institutions
    Innovate and optimize your data quality lifecycle
    United States of America
    New York
    28-30 Oct 2019
  • Cashless Middle East
    Crafting a Seamless Cashless Society by Adapting to Payment Innovations within the GCC’s Growing Digital Space
    United Arab Emirates
    Dubai
    11-12 Nov 2019
  • Benchmark Rate Reform for Debt-Based Cash Instruments
    Impact of the move to a risk free rate on term agreements for floating bonds and loans in the cash market
    United Kingdom
    London
    11-13 Nov 2019
  • 10th Edition: Third Party Risk Management and Oversight for Financial Institutions
    Securing Data and Elevating Third and Fourth Party Controls to Combat Risks and Bolster TPRM Stability
    United States of America
    New York, NY
    13-14 Nov 2019
  • Automating Fraud and Financial Crime Prevention in Retail Banking
    Combat financial crime arising from AML, credit, payment and card fraud with automation and AI
    United Kingdom
    London
    13-15 Nov 2019
  • 2nd Edition Benchmark Rates Reform in the Derivatives Market
    Address how global efforts to reform the benchmark rate and end Libor will impact derivatives valuations and legacy trades
    United Kingdom
    London
    13-15 Nov 2019
  • 3rd Edition AML Compliance and Modeling
    Building a sustainable and effective BSA/AML program that satisfies your regulators and optimizes the efficiency of your AML function
    United States of America
    New York
    18-19 Nov 2019
  • 9th Edition Operational Risk Management in Financial Institutions
    Bolster operational risk management practices alongside the emergence of new threats in an increasingly agile environment
    United Kingdom
    London
    18-20 Nov 2019
  • 6th Edition Credit Risk Modeling and Management
    Optimize your CECL methodologies, implementation and reporting efforts for an effective submission
    United States of America
    Chicago
    18-20 Nov 2019
  • Managing Exposures in Credit Risk: Non-Performing Loans
    See how to manage and prevent NPL exposure in line with the latest ECB guidelines
    Czech Republic
    Prague
    21-22 Nov 2019
  • 2nd Annual Machine Learning in Quant Finance
    Discover real world application of machine learning techniques such as reinforcement learning and neural networks to solve a specific financial problem
    United Kingdom
    London
    20-22 Nov 2019
  • 3rd Edition Impact of SFTR on Securities Lending and Reporting
    Best practices for implementing the SFTR particularly the reporting and transparency obligations as outlined by ESMA
    United Kingdom
    London
    20-22 Nov 2019
  • Finance Digitalisation Forum 2020
    AUTOMATION – DATA VISUALISATION – ADVANCED ANALYTICS – TREASURY MANAGEMENT – EXPENSE MANAGEMENT – BLOCKCHAIN – AI & ML – CLOUD FINANCE – REAL-TIME BUDGET FORECASTING
    Singapore
    Singapore
    17-18 Feb 2020
  • 2nd Edition Initial Margin Optimization and Collateral Management
    Effective initial margin implementation through efficient derivative pricing within collateral management, to reduce costs and gain competitiveness in the current market
    United States of America
    New York, NY, USA
    19-20 Feb 2020