Webinar 1: The New Normal - Navigating and reassessing your long-term strategic approach to Risk Management in light of Covid-19
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  • Wolters Kluwer Risk Webinar Series (1): The New Normal - Navigating and reassessing your long-term strategic approach to Risk Management in light of Covid-19

    Published May 20, 2020

    Live Webinar

    Date: 10th June 2020
    Time: 14:00 (BST) / 15:00 (CEST)
    Duration: 60 min
    Venue: Online
    Speakers: Francis Lacan, Director Risk

    Covid-19 changes the outlook of even well-capitalized and profitable banks as they seek to adjust to the ‘new normal’. Securing a firm grip now is essential in order to ensure the implementation of effective counter-measures and a robust financial resilience strategy.

    Join Francis Lacan, Director of Risk Products at Wolters Kluwer, as he discusses how firms can adapt their strategic planning to manage the fallout. Topics covered will include:

    • Credit, Market and Liquidity Risk
    • Stress-Testing across International Exposures and Activities
    • Asset Market Effects and Bank Stress-Disclosures
    • Determining the Severity of Macroeconomic Stress Scenarios
    • New Frontiers in Stress Testing and Regulatory Reporting

    To register for this event please complete the form below.

    To pre-register for the second webinar in the series ‘The New Normal – Managing Risk in an Age of Uncertainty’, July 1st, please click here.

     


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