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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
  • 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
  • Practical Behavioral Finance Theory for Wealth Advisors
    The Best Tool Available to Dramatically Increase Client Satisfaction and Retention Rates
    United States of America
    Chicago, IL | NBC TOWER
    12-13 Sep 2019
  • Third and Fourth Party Vendor Risk Management for Financial Institutions
    Meet Compliance Objectives and Improve your Understanding of your Third Party Vendor’s Security and Privacy Posture
    United States of America
    NBC Tower l Chicago, IL
    25-26 Jul 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
  • Beyond Reporting: Achieving Improved Performance through Enterprise Risk Management
    Incorporating Enterprise Risk Management into business strategies to meet objectives and improve performance
    United States of America
    NBC TOWER | Chicago, IL
    14-15 Nov 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
  • 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
  • 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
  • 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
  • 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
  • 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
  • Current Expected Credit Loss (CECL) Modelling
    Practical guidance for modellers in financial institutions on issues of estimating expected credit losses for wholesale and retail portfolios under the new FASB Accounting Standards Update 2016-13
    United States of America
    Downtown Conference Center, New York, NY
    18-19 Jul 2019
  • Effective Enterprise Risk Management for Banks
    Master ERM within your institution to combat existing and emerging risks
    United States of America
    Downtown Conference, New York, NY
    23-24 Jul 2019
  • Funds Transfer Pricing: Risk Taking, Pricing and Transfer and the Implications for IRR, Liquidity Risk and Profitability Management
    FTP is an essential business management process for effective and meaningful risk and profitability management at all depository institutions
    United States of America
    San Francisco, CA
    24-25 Jul 2019
  • Commercial and Consumer Credit Risk Measurement & Management
    Navigate commercial and consumer lending exposures using foundational, fundamental, innovative, and evolving modelling approaches resulting in effective and efficient credit portfolio management.
    United States of America
    New York City, New York
    16-17 Sep 2019
  • Capital Management: Moving beyond compliance to supporting business strategy
    Examining how banks can optimize their capital management processes, including capital and scenario planning, stress testing, and risk measurement
    United States of America
    Downtown Conference Center, New York, NY
    19-20 Sep 2019
  • ALM: Moving Beyond the Model
    A Comprehensive Perspective on the Measurement and Management of Interest Rate Risk, Liquidity Risk, Funds Transfer Pricing and the ALCO Process
    United States of America
    Boston, MA
    23-24 Sep 2019
  • Optimizing the Derivatives Sales Function
    Increase sales of derivatives products to clients and build support internally, while adapting to new technology and market conditions
    United States of America
    Downtown Conference Center, New York, NY
    26-27 Sep 2019
  • Integrated Due Diligence for Financial Institutions
    Ensuring proper processes are in place for due diligence to minimise risk in decision making for financial firms.
    United States of America
    Downtown Conference Center, New York, NY
    26-27 Sep 2019
  • Model Risk Management - Achieving and Maintaining Best Practices and Standards
    This course will discuss best practices and the latest trends in model risk management, an ever more important focus for financial institutions.
    United States of America
    Downtown Conference Center, New York, NY
    26-27 Sep 2019
  • Canada OSFI B-12: Implementing IRRBB and FTP models to comply with the new regulatory expectations
    Meeting regulatory requirements and their implications for balance sheet management to enable profitable and sustainable growth, driving business results through ALM and FTP
    Canada
    Toronto
    3-4 Oct 2019
  • Alternative Data & Methodologies for Trading, Investments and Risk Management
    How to untap the value of alternative data sources in the day-to-day decision making for investment, trading and risk management
    United States of America
    New York
    3-4 Oct 2019
  • Non-Maturity Deposit Modeling
    Reconciling the quantitative modeling problem with the intrinsic problems of risk and profitability management
    United States of America
    Downtown Conference Center, New York, NY
    7-8 Oct 2019
  • Comprehensive Credit Risk Modeling
    A comprehensive 2-day course covering the essentials of credit risk modeling, including CECL, and regulatory and economic credit risk modeling
    United States of America
    New York, NY
    4-5 Nov 2019
  • Third Party Risk Management
    End-to-end best practice in a vendor risk management program
    United States of America
    New York City
    14-15 Nov 2019
  • Implications of the Transition to the Secured Overnight Financing Rate (SOFR) on the $US Derivative Market
    Understanding the move from LIBOR to SOFR and the development of the SOFR-backed derivatives market, as well as the issues posed by a lack of liquidity, legacy contract uncertainty, term rates, and future implications for the fixed income derivative market
    United States of America
    San Francisco
    25-26 Jul 2019
  • Machine Learning and its Applications for Financial Institutions
    A Comprehensive Examination of Machine Learning and its Applications within Financial Markets including Risk Modelling, Valuation, and Market Predictions
    United States of America
    New York, New York
    25-26 Jul 2019
  • Effective Risk Data Management and Reporting
    Practical advice on industry best practice in risk data management, aggregation, and reporting.
    United States of America
    Downtown Conference Center, New York, NY
    5-6 Sep 2019
  • Funds Transfer Pricing: Risk Taking, Pricing & Transfer and the Implications for IRR, Liquidity Risk & Profitability Management
    FTP is an essential business management process for effective and meaningful risk and profitability management at all depository institutions
    United States of America
    Houston, TX
    10-11 Sep 2019