15th Annual Banking Credit Risk Management Summit

To ensure a sustained recovery from the pandemic has been the main objective of most bank institutions around the world. The crisis has revealed many industry flaws which have made banks rethink their current strategies and adjust to the new dynamics to get back to full growth.

The 15th Annual Banking Credit Risk Management Summit is a two-day business meeting which aims to bring up and exchange valuable thoughts on the ongoing topics from the credit risk field; providing an accurate vision of the counterparty credit risk, designing right stress testing scenarios, identifying consequences of the pandemic and , picturing the new regulations or reflecting on the artificial intelligence implementation are comprised in a rich programme full of experts from the leading banks on the market.

Representatives of the greatest banks will share their experiences and views on the current sector challenges and opportunities as well as predictions about future trends in credit risk. You will enjoy networking with the industry shapers to the fullest and bringing your tips to the table. Let yourself get embraced by the uniquely friendly atmosphere and other benefits of the summit.

Join us and register today

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Key speakers



Head of Credit Risk LDP Models


Head of Portfolio Models


Head of Risk Models Methodology & IRB Models


Head Analysis Country Risk and Financial Counterparty Risk


Chief Risk Officer


Chief Risk Officer

Key topics

  • What are the new regulations in credit risk? Regulatory responses to the COVID-19 crisis
  • Key drivers of credit risk in the wake of the pandemic
  • How is technology changing and optimising credit risk?
  • Why is the role of Big Data in the banking sector increasing?
  • What have been the new and emerging challenges for counterparty credit risk in 2021?
  • What challenges has stress testing faced since the last year?
  • What can be expected from the risk function of 2025?
  • Sustainability risk indicators in credit risk management: Why integrate “sustainability” into financial decisions?

Who Should Attend

Members of board, C-level, Senior/Global Vice Presidents, Directors, Heads of departments from the banking industry involved in:

  • Credit Risk
  • Trading Credit Risk
  • Credit Risk Control
  • Credit Risk Models
  • Credit Risk Analytics
  • Credit Risk Systems
  • Credit Risk Review
  • Credit Risk Validation
  • Credit Risk Monitoring
  • Credit Risk Management
  • Counterparty Credit Risk Methodology
  • Risk Appetite Framework and Model
  • Capital Management
  • Stress Testing
  • Portfolio Models
  • Regulatory Strategy
  • IFRS 9 Regulation
  • AIRB Modelling