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Event Date |
Mon Sep 26 BST - Wed Sep 28 BST (about 1 year ago)
In your timezone (EST): Sun Sep 25 7:00pm - Tue Sep 27 7:00pm |
Location |
TBA
London‚ United Kingdom |
Region | EMEA |
This event will provide practical guidance on how to optimise capital management for banking institutions, with in-depth sessions on ensuring effective compliance with regulations such as the FRTB and SA-CCR, adapting to climate risk, enhancing capital planning, and meeting macroeconomic challenges. These hands-on sessions will be delivered by best-in-class practitioners who are uniquely equipped to pass on their expertise in this field. This guidance will enable banks to rise to the challenge of the new regulatory and macroeconomic conditions, and further develop their capital management and risk frameworks.
2022 Speakers
Chetan Chowdhury
Head of Derivatives Capital Integrity, Citi
Rafael Acciari
VP, Capital Management, JP Morgan
Barbara Polak-Labit
Capital Management Lead, NatWest Group
Sandeep Singh
Head of Capital and Leverage Management, Americas, Barclays
Andrea Cremonino
Head of Portfolio and Pricing Management Analysis and Strategy, UniCredit
Krishnan Ramadurai
Head of Capital Management for the Trade Portfolio, HSBC
David Saunders
Executive Director, Private Debt Mobilisation, Notes & Structuring, Santander
Thomas Rohold
Head of Financial Resource Management, Senior Vice President, Danske Bank