

This session offers a comprehensive understanding of banking risk management, covering key risks, regulatory frameworks, and data-driven approaches to mitigation. Part 1 introduces banking risk management, Basel III regulations, and credit risk measurement and management practices. Part 2 explores additional risks faced by banks, including market and liquidity risks, and discusses relevant regulatory frameworks. Part 3 delves into data challenges, risk data aggregation and reporting, and the role of data architecture in effective risk management. Attendees will gain valuable insights essential for navigating the complex landscape of banking risk management, crucial for CTOs, risk management professionals, and stakeholders ensuring financial stability.
Requirements
You need no more than a desire to learn and take action by purchasing a course right away! That’s all it takes to excel with us.