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Risk data is an area that has been largely overlooked for many years. Today the situation is different and the area is facing increasing regulatory scrutiny, as Systemically Important Financial Institutions (SIFIs) rush to comply with the Basel 239 Principles for Effective Risk Data Aggregation and Risk Reporting. An enterprise’s success depends on its ability to analyze risk data efficiently and effectively, in ways that uncover both risks and opportunities. Being able to extract and escalate critical risk information is nearly impossible without a robust risk management framework supported by a strong technology infrastructure.
This GFMI conference will help financial institutions realize their risk data aggregation requirements and integrate strategy that will minimize risk through accurate, high quality risk data. Institutions will discover ways to develop an effective risk data infrastructure that will allow them to easily identify risk in the new risk data governance environment.
Attendees will be afforded the opportunity to interact with speakers and their peers in a classroom style setting that will encourage both audience participation and engagement. Seating for this conference is limited to maintain an intimate educational environment that will cultivate the knowledge and experience of all participants.
There may be many networking opportunities at the Risk Data Aggregation, Governance and Reporting Conference. Find out more in the event details below.
|Conference/Event Dates:||11/03/2014 - 11/05/2014|
|Other Industries:||Banking-Money-Finance, Business|
|Booth Size||Booth Cost||Available Amenities|
|Call for information.||Electricity:||n/a|
|Marketing Vehicles Allowed:||Call|
|Other Booth Sizes Available: n/a|
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