8th Edition
Model Risk Management for Financial Institutions
Advance model risk management strategies to ensure compliance, innovation, and effective governance
This conference will provide insights on the evolving landscape of model risk management, focusing on AI, Gen AI, and traditional models. With an emphasis on robust governance, transparency, and compliance, sessions will explore the integration of AI models with traditional frameworks, ensuring regulatory alignment while mitigating risks. Key discussions will focus on model explainability, managing model complexity, and enhancing collaboration across departments for optimized risk assessment. Additionally, the conference will address the challenges of maintaining up-to-date, compliant model inventories and how automation can enhance the efficiency of model validation, monitoring, and development. Participants will gain expert knowledge on regulatory requirements, including the EU AI Act, and learn best practices for building a robust model risk management strategy.
Speaker Include:
- Natacha Lord Global Head Model Risk Management Rabobank
- Jens Jakob Rasmussen Head of AI Model Risk Nordea
- Eric Peter Head of Group Model’s Audit Société Générale
- Karsten Kirchgessner Head of Risk Control Audit, EMEA Lead of Stress Testing and Model Risk Audit UBS Europe SE
- Maribel Tejada Head of Model Risk Oversight ING
- Sanja Hukovic Head of Model Risk Management London Stock Exchange
If you are interested in attending this event please contact angelost@marcusevanscy.com or go direclty at https://bit.ly/44OLTFO
Comments