The 2nd Annual GRC Governance, Risk and Compliance in Financial Services 2015 covers topics such as:
- Cyber Security – More of a Business Issue than just a Technology Issue
- Regulatory stress testing – using stress testing to effect strategic change
- Planning for catastrophe: How banks can develop "living wills"
- Anti-money laundering (AML) and know your customer (KYC) norms and best practices
- FATCA compliance: a challenging responsibility for participating foreign financial institutions (PFFIs)
- Managing risk with operations and technology solutions
- Regulatory reform: A look at key changes reshaping the derivatives market
- Mortgage Servicing Game – Survival of Smaller Players in radically changing Market
- Assessing third-party relationships under the new regulatory regime
- Challenges, solutions and opportunities in collateral management
The 2nd Annual GRC Governance, Risk and Compliance in Financial Services 2015 brings together:
- Members of the Board of Directors
- C-Suite Officers: Chief Compliance Officers, Chief Executive Officers, Chief Information Officers, Chief Outsourcing Officers, Chief Strategy Officers, Chief Operations Officers, Chief Legal Counsel, Chief Marketing Officers
- Vice President and Directors of Enterprise Risk, Operational Risk, Outsourcing, Governance, Vendor Management and Performance Measurement
- Heads of Performance Measurement, Legal and Compliance Departments
- Project Managers of Governance, Risk and Compliance
- Managing Directors and Process Directors
- Performance Measurement Managers and Executives
- Risk Managers and Risk Analysts
- Reporting Managers and Executives
- Compliance Managers
- IT Directors & Consultants
- Anyone involved in Governance, Risk Management and Compliance initiatives