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Event Date | Wed Feb 24 EST - Thu Feb 25 EST (almost 4 years ago) |
Location | Virtual Event |
Region | All |
This GFMI conference will enable financial institutions to address the current regulatory landscape within model risk management (MRM) alongside the latest developments. Delegates will get an update from the regulators on their current standpoint and their reflections on COVID-19. There will also be discussions into the overall implications of the pandemic on model risk such as how to recalibrate models, the impact of the government intervention during COVID-19 and what the post-pandemic world will look like for model risk professionals. They will also benchmark the best approaches for finding the correct balance within model inventory to ensure it is effective. Delegates will also assess the latest innovations in AI and Machine Learning (ML) as well as algorithmic trading. Finally, the impact of the LIBOR transition on model risk will be assessed as well as looking into the future of the 3 lines of defense model within MRM and learning from FinTechs and other financial institutions’ best practices
Key topics:
• Gain an update on the current and future supervision within MRM
• Assess the impacts of COVID-19 on model risk management
• Explore the best approaches to an effective and appropriate model inventory
• Benchmark the latest innovations in AI and ML for model risk
2021 Speakers
Xiaobo Liu
Managing Director, Corporate Model Risk Management, Wells Fargo
David Palmer
Senior Supervisory Analyst, Federal Reserve Board
Olga Collins
Global Head of Model Risk Reporting, Morgan Stanley
Arthur Maghakian
Managing Director, Model Risk Management, Goldman Sachs
Srikanth Ranganathan
Head of Model Risk Management, USAA
Roderick Powell
Senior Vice President, Head of Model Risk Management, Ameris Bank
James Oche
Senior Vice President and Director, Audit, PNC
Piero Monteverde
Co-head of Model Risk Management, Capital One
2021 Sponsors
• SAS
• incisive
• Mitratech
• ModelOp
• Workscope
• Kaufman Rossin