About the Event

About

About the Event

Over a decade after the financial crisis, liquidity and funding risk is still one of the most rapidly changing fields in banking. The growing regulatory agenda has significant implications for management practices and product pricing.The objective of Liquidity & Funding Risk is to keep delegates in step with the latest developments in supervision, regulation and industry practice.

With speakers from the regulatory sector and a host of senior practitioners, the editorial led agenda provides detailed intelligence and analysis on range of topics, from stress testing, liquidity modelling, resolution funding, intraday liquidity management, TLAC/MREL, STS as well as climate change and Libor.

Throughout, the conference will provide a forward-looking perspective, helping practitioners benchmark and improve their asset and liability management strategies and prepare for key challenges.