18th Annual Banking Credit Risk Management Summit


The credit risk environment changes with economic conditions, regulatory updates, and market developments. Keeping up with regulatory requirements is essential for every banking institution. Attending our banking credit risk conference can be instrumental in navigating the complexities of modern credit environments, ultimately driving better risk management practices and enhancing your institution’s financial stability.

The 18th Annual Banking Credit Risk Management Summit is focusing on the key challenges, trends, and innovations and gathers professionals and credit risk experts to share insights and best practices for managing credit portfolios and maintaining financial stability. Join us at our two-day business conference and discuss the evolving regulatory landscape, including Basel III/IV, IFRS 9, stress testing, and their implications on credit risk. Hear about strategies for diversifying and managing credit portfolios to minimise risk exposure, including loan restructuring and risk mitigation strategies. You will enjoy networking with the industry shapers to the fullest and bringing your tips to the table. By attending this business event, you can gain critical insights into how the industry is evolving, access the latest tools and methodologies, and ensure that your bank is aligned with best practices in credit risk management. Let yourself get embraced by the uniquely friendly atmosphere and many other benefits of the summit. 

Join us and register today

Stay on top of the latest trends

Key speakers

Miklós Ács

Miklós Ács

Head of Group Credit Risk Analytics and Head of Risk Models
Andrea Cremonino

Andrea Cremonino

Head of Portfolio and Pricing Management Corporate
Boris Grbic

Boris Grbic

Executive Director, Head of XVA and Counterparty Credit Risk Model Validation
Angel Rodriguez-Rozas

Angel Rodriguez-Rozas

Associate Director, Quant Expert in Model Validation
Alexander Tsorlinis

Alexander Tsorlinis

Head of Market Risk Management


Key topics

  1. Current Trends in Credit Risk Management 2025
  2. Counterparty Credit Risk
  3. Regulatory Compliance and Capital Adequacy
  4. Digitalisation and AI/ML Models
  5. Stress Testing
  6. Data Management and Quality
  7. The Impact of Uncertainty and Risk on Financial Markets



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