2nd Edition Climate Risk Management for Financial Institutions

  • Risk Management
  • 04.10.2023 02:35 pm

Climate risk is a top concern for financial institutions and something which is a growing priority for regulators, which is increasing the pressure for financial institutions to focus on this risk. The regulators have released initial comments regarding the biggest banks reporting on their climate exposure and it is important that the whole system is aware of what this means and what the implications might be. There is still much conversation about understanding the true impact of this regulation. Financial institutions are beginning to prepare for different climate related scenarios so that they can understand their risk exposure in this area and prepare for this accordingly. 

The GFMI 2nd Edition Climate Risk Management for Financial Institutions conference held in New York on November 8 – 10, 2023 will present case studies and experiences on the most critical topics of climate risk in financial institutions. An overall theme on regulations, with lessons from the EU, discussions on current and expected US regulations, and best practices around the TCFD framework will be among the topics covered. The conference will also present discussions on more technical challenges around model development, data requirements, analytics and measures. Finally, physical transition, and reputational risks will be discussed, as well as how to build an overall climate risk strategy while embracing good culture and governance practices.

Attending This Premier marcus evans Conference Will Enable You to:

  • Expecting new regulation rollouts: what needs to be assessed, and what needs to be disclosed?

  • Approach climate risk model development and finding the relevant data.

  • Identify and implement climate-related risk metrics in your risk management frameworks.

  • Manage climate-related risks according to organizational specifications.

  • Cultivate a company culture which embraces climate risk across all levels.

  • Examine various climate risk scenarios, related assumptions and parameters used.

Best Practices and Case Studies from:

  • Sivan Mahadevan, MD Risk Management, Morgan Stanley

  • Adrien Vanderlinden, Executive Director, Systemic Risk, DTCC

  • Jim Costa, Chief Risk Officer, Executive VP, Banner Bank

  • Jeffery Weaver, EVP & Chief Qualitative Risk Officer, Emerging Risk, Climate Risk Management, KeyBank

  • Derek Jun, Managing Director and Head of Climate Risk, TIAA & Nuveen

  • Nick Puglisi, Director, Head of ERM Portfolio Management US, Deutsche Bank

Financial IT members benefit from a special $200 discount!

For more information, please contact Ria Kiayia at riak@global-fmi.com, or visit https://bit.ly/3LHviJN

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