Model Risk Management for Financial Institutions #
Website: https://www.marcusevans.com/conferences/modelrisk
🗓️ May 20, 2024
📍Frankfurt
About Model Risk Management for Financial Institutions #
Model Risk Management for Financial Institutions is a specialized summit focused on the governance, validation, and regulatory compliance of analytical and AI-driven financial models. The event gathers heads of risk management, model validation specialists, quant analysts, and regulators to navigate challenges in deploying predictive algorithms for credit, trading, pricing, and risk decisioning.
Topics include explainable AI, model lifecycle management, model risk frameworks, Basel and regulatory stress testing standards, and bias mitigation strategies. Attendees benefit from case studies on model breakdowns, validation best practices, and hands-on peer workshops.
The conference is designed for high-level professionals seeking to strengthen their organization’s model governance, ensure regulatory alignment, and support safe deployment of data-driven financial systems while minimizing operational, compliance, and reputational risk.