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    Global Banking & Finance Review® is a leading financial portal and online magazine offering News, Analysis, Opinion, Reviews, Interviews & Videos from the world of Banking, Finance, Business, Trading, Technology, Investing, Brokerage, Foreign Exchange, Tax & Legal, Islamic Finance, Asset & Wealth Management.
    Copyright © 2010-2025 GBAF Publications Ltd - All Rights Reserved.

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    Editorial & Advertiser disclosure

    Global Banking and Finance Review is an online platform offering news, analysis, and opinion on the latest trends, developments, and innovations in the banking and finance industry worldwide. The platform covers a diverse range of topics, including banking, insurance, investment, wealth management, fintech, and regulatory issues. The website publishes news, press releases, opinion and advertorials on various financial organizations, products and services which are commissioned from various Companies, Organizations, PR agencies, Bloggers etc. These commissioned articles are commercial in nature. This is not to be considered as financial advice and should be considered only for information purposes. It does not reflect the views or opinion of our website and is not to be considered an endorsement or a recommendation. We cannot guarantee the accuracy or applicability of any information provided with respect to your individual or personal circumstances. Please seek Professional advice from a qualified professional before making any financial decisions. We link to various third-party websites, affiliate sales networks, and to our advertising partners websites. When you view or click on certain links available on our articles, our partners may compensate us for displaying the content to you or make a purchase or fill a form. This will not incur any additional charges to you. To make things simpler for you to identity or distinguish advertised or sponsored articles or links, you may consider all articles or links hosted on our site as a commercial article placement. We will not be responsible for any loss you may suffer as a result of any omission or inaccuracy on the website.

    Top Stories

    MARCUS EVANS TO HOST THE 13TH ANNUAL LIQUIDITY RISK MANAGEMENT CONFERENCE ON MAY 2-3, 2018 IN NEW YORK, NY

    MARCUS EVANS TO HOST THE 13TH ANNUAL LIQUIDITY RISK MANAGEMENT CONFERENCE ON MAY 2-3, 2018 IN NEW YORK, NY

    Published by Gbaf News

    Posted on February 9, 2018

    Featured image for article about Top Stories

    Marcus Evans will host the 13th Annual Liquidity Risk Management Conferenceon May 2-3, 2018in New York, NY. In its 13th year, this exclusive meeting will address key changes and new considerations for revolutionizing liquidity risk by building better models and understanding market impacts. By attending this event, delegates will explore the benefits of integrating oversight controls and frameworks for multiple regulations, reacting to market stress events, contingency planning, and much more!13 annual liquidity risk management

    Take Away Practical Insights That Will Allow You To:

    • Formulateliquidity stress test scenarios that bolster preparedness for regulatory scrutiny and adverse economic conditions
    • Enhance intraday liquidity management and capabilities
    • Develop a concrete approach to predicting and reacting to market stress events and liquidity shocks
    • Integrateliquidity and interest rate risk to provide a more holistic view of the enterprise risk profile
    • Promote cohesion and collaboration between the lines of defense to create a unified, robust approach to liquidity management

    Key Speakers Include:

    • Jennifer Fitzgibbon, Head of Americas Treasury, Rabobank
    • Steve Hageman, Liquidity Risk Officer, SocieteGenerale
    • Godfrey Biravanga, CPA, Group VP & Corporate Treasury Audit Director, SunTrust Bank
    • Andrew Auslander, Head of Risk Governance & Disclosure, ERM, AIG
    • Walter Young, Market Risk Officer and CCAR Analytics, Group Vice President, M&T Bank 

    Marcus Evans will host the 13th Annual Liquidity Risk Management Conferenceon May 2-3, 2018in New York, NY. In its 13th year, this exclusive meeting will address key changes and new considerations for revolutionizing liquidity risk by building better models and understanding market impacts. By attending this event, delegates will explore the benefits of integrating oversight controls and frameworks for multiple regulations, reacting to market stress events, contingency planning, and much more!13 annual liquidity risk management

    Take Away Practical Insights That Will Allow You To:

    • Formulateliquidity stress test scenarios that bolster preparedness for regulatory scrutiny and adverse economic conditions
    • Enhance intraday liquidity management and capabilities
    • Develop a concrete approach to predicting and reacting to market stress events and liquidity shocks
    • Integrateliquidity and interest rate risk to provide a more holistic view of the enterprise risk profile
    • Promote cohesion and collaboration between the lines of defense to create a unified, robust approach to liquidity management

    Key Speakers Include:

    • Jennifer Fitzgibbon, Head of Americas Treasury, Rabobank
    • Steve Hageman, Liquidity Risk Officer, SocieteGenerale
    • Godfrey Biravanga, CPA, Group VP & Corporate Treasury Audit Director, SunTrust Bank
    • Andrew Auslander, Head of Risk Governance & Disclosure, ERM, AIG
    • Walter Young, Market Risk Officer and CCAR Analytics, Group Vice President, M&T Bank 

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