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  • "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
  • DIGITAL WEEK - 23rd Annual Financial Sector Compensation and Benefits
    Develop compensation and benefits policy that succeeds in being fair, sustainable and competitive through leveraging HR data and appropriately responding to the latest regulation
    United Kingdom
    London
    6-10 Jul 2020
  • 3rd Annual Benchmark Rates Reform in the Derivatives Market
    Address how global effort to reform the benchmark rates and end Libor will impact derivatives valuations and legacy trades
    United Kingdom
    London
    14-15 Sep 2020
  • 2nd Edition Initial Margin Optimization and Collateral Management: Phase 5 & 6
    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
    Date to be confirmed
  • 10th Annual Funds Transfer Pricing and Balance Sheet Management
    Establish how banks are using FTP to achieve balance sheet optimisation and manage P&L volatility due to side effects from COVID-19
    Germany
    Frankfurt
    14-16 Sep 2020
  • 9th Edition Risk Data Aggregation and Risk Reporting
    Enhance your risk data aggregation and risk reporting with a focus on data governance, data consistency, and building a data-centric business.
    United Kingdom
    London Marriott Hotel Canary Wharf
    17-18 Sep 2020
  • 2nd Annual Model Risk Management in Banking
    Develop an industry standard for the assessment and management of model risk for traditional and next generation models in banks
    United Kingdom
    London Marriott Hotel Canary Wharf
    16-18 Sep 2020
  • 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
    17-18 Sep 2020
  • Operational Resilience and Business Continuity Management in the Financial Sector
    Gain insights from lessons learned throughout COVID-19 and use this to shape operational resilience and BCP
    United Kingdom
    Canary Riverside Plaza Hotel, London
    19 Oct-21 Sep 2020
  • 4th Edition Impact of CCP Risk and Initial Margin on Counterparty Risk Management
    Strategic risk management to minimise the implications of CCP and clearing member default along with bilateral initial margin rules for CCR
    United Kingdom
    London / Online
    21-23 Sep 2020
  • Data Mining and Engineering in Finance
    Drive data engineering and mining initiatives to build an entire ecosystem of quality data for trade and risk in the financial market
    United Kingdom
    London
    5-6 Oct 2020
  • 3rd Annual RPA and AI in the Financial Market
    Drive large scale adoption of RPA and progress towards intelligent automation such as machine learning
    United Kingdom
    London Marriott Hotel Canary Wharf
    19-20 Oct 2020
  • 19th Annual Liquidity Management
    Drive daily optimisation of liquidity metrics such as intraday liquidity in light of pressure from other risk and capital measures
    United Kingdom
    Canary Riverside Plaza Hotel, London
    19-20 Oct 2020
  • 8th Annual Advancing Credit Risk Modelling for IFRS 9
    Refine IFRS 9 credit risk models with feedback from data, validation and audit insights to increase stability and sensitivity to different economic scenarios in light of COVID 19
    Netherlands
    Amsterdam
    21-23 Oct 2020
  • Advanced Management of Banking Book Risk
    Effectively govern banking book risk through advanced behavioural modelling for enhanced balance sheet structure and risk management positions
    United Kingdom
    London
    11-13 Nov 2020
  • 9th Edition Operational Risk Management in Financial Institutions
    Incorporating lessons learnt from the Covid19 pandemic alongside the emergence of new threats in an increasingly agile environment
    United Kingdom
    London Marriott Canary Wharf, London
    16-17 Nov 2020
  • 2nd Annual Benchmark Rate Reform for Treasury and Accounting
    Impact of the transition to risk free rates on fair value of financial instruments, hedge accounting and P&L volatility
    United Kingdom
    London
    18-20 Nov 2020
  • 23rd Annual Financial Sector Compensation and Benefits
    Develop compensation and benefits policy that succeeds in being fair, sustainable and competitive through leveraging HR data and appropriately responding to the latest regulation
    United Kingdom
    London
    18-20 Nov 2020
  • Marcus Evans Live+ (Capital Markets)
    Take advantage of our online live stream of the event, enabling you to attend all event presentations.
    United Kingdom
    London
    Date to be confirmed
  • Capital Management and Developing a Capital Strategy
    Stewardship and supervision of risks through tactical and strategic capital management
    Germany
    Frankfurt
    7-8 Sep 2020
  • Business Continuity and Scenario Planning
    A two-day programme with detailed business continuity case studies. Attend in person or via a live webcast of the event
    United Kingdom
    London
    14-15 Sep 2020
  • Reverse Stress Testing
    An in-depth discussion of ways to assess and enhance existing frameworks
    United Kingdom
    London
    15-16 Sep 2020
  • Understanding and Mitigating Human Risk within Financial Services
    The biggest risk facing most organisations is Human Risk; this course will explore what it is and how we can best mitigate it. Delivered over four sessions using an innovative online format.
    United Kingdom
    Online
    14-17 Sep 2020
  • Live Online Training Course: Risk Management in Non-Financial Companies (NFC’s)
    Aligning risk with strategy and performance : A live online course delivered over four 3 hour sessions
    United Kingdom
    Online
    9-22 Sep 2020
  • Live Online Training Course: Credit Risk Modelling
    A structured online course delivered in four half day sessions
    United Kingdom
    Online
    21-24 Sep 2020
  • Machine Learning and its Applications for Financial Institutions
    A structured live online course delivered over 4 half-day sessions
    United Kingdom
    Online
    21 Jul-24 Sep 2020
  • Climate Risk within the Financial Services Industry
    An innovative climate risk course delivered by our expert co-trainers Gerhard Mulder and Stephanie Gnissios over four half day sessions. Timings: September 22-25, 8:30 - 11:30 BST
    United Kingdom
    Online
    22-25 Sep 2020
  • Best Practice Capital and Liquidity Planning
    Developing a playbook for ICAAP & ILAAP is crucial to bank strategy and profitability
    Germany
    Frankfurt
    28-29 Sep 2020
  • Managing Operational Risk Within the Financial Sector
    This course will help firms protect themselves in this increasingly challenging risk environment, by establishing an effective framework for identifying, assessing, monitoring, managing and reporting all their operational risks. Delivered over four sessions using an innovative online format.
    United Kingdom
    Online
    28 Sep-1 Oct 2020
  • Live Online Training Course: Stress Testing for Banks
    A structured online course delivered in four half-day sessions over 4 weeks
    United Kingdom
    Online
    5-8 Oct 2020
  • Climate Risk within the Financial Services Industry
    Learn how to recognise, analyse, manage, and report on climate risk in the financial sector.
    Netherlands
    Amsterdam
    8-9 Oct 2019
  • Live Online Training Course: Risk-Based Auditing
    A structured online course delivered over 4 half-day modules
    Switzerland
    Online
    6-9 Oct 2020
  • Live Online Training Course: Asset Liability Management – How to Optimise the Banking Book of a Financial Institution
    A structured online course delivered in four half day sessions over four days
    United Kingdom
    Online
    12-15 Oct 2020
  • Enhancing your Market Risk Framework to Optimise Compliance with the FRTB
    Understanding and implementing the new capital requirements for market risk under the FRTB
    United Kingdom
    London
    28-29 Oct 2020
  • Digital Transformation of Model Management
    Transforming the infrastructure and the processes of model management with distributed governance and normalization of data and models for effective model risk management with AI and ML
    United Kingdom
    London
    9-10 Nov 2020