With robust changes in macroeconomic behaviour, financial services industries and large companies today are confronting with a series of substantial impending risks that will require organisations to rethink traditional approaches to risk management.

Organisations are vigorously looking for solutions to identify, analyse, treat, and predict risks before it happens to ensure their organisation are well equipped with the necessary tools in order to mitigate risk and stay ahead of the competition. The lingering effects of COVID-19 and natural disasters happening all around the globe at a higher rate are reshaping the risk management landscape at a more critical rate than ever before.

This 2-day conference by Finnovex will be provide exclusive insights from key leaders, decision makers, and regulators on how they are coping with the ever changing risk management framework and volatile environment in the APAC market.

The Risk Management Academy is an institutional partner working with Novex to facilitate the delivery of this conference.

 

Program Objectives

Attendees will be able to

  • Discover new ideologies that can optimise your organisation’s growth
  • Enhance your financial and non-financial risk assessments
  • Create sustainable risk management
  • Delve into geopolitical changes and its impact on the financial sector
  • Leverage from global financial leaders

Who Should Attend?

This conference has been specifically designed for, but not limited to: –

  • Chief Risk Officer
  • Chief Executive Officer
  • Managing Director
  • VPs
  • AVPs
  • Directors
  • General Managers
  • Heads
  • Senior
  • Risk executives

Risk management leaders:- of banking, financial industries, large corporations and risk enthusiast.

Program Type: Hybrid – (Both Live and Virtual)

Registration Fee: US$599 (Virtual Participation) and US$799 (Physical Participation). There is discount for RMA clients. For more information about payment and discount, please read this post.

 

 

Program Agenda

Day 1 - Multiple Sessions

Sessions are moderated by appointed speakers - please see the program brochure PDF.

  1. (Global Economic Highlight)
    GEOPOLITICAL CHANGES: IMPACT ON ECONOMIES AND FINANCIAL MARKETS
    Examining geopolitical changes and its impact on the economy as a whole and the financial sector
  2. DIAMOND PARTNER
  3. MANAGING CONDUCT RISK (CASE STUDY) : As part of the Central Bank of Malaysia’s principal regulatory objective to promote financial stability, Central Bank of Malaysia has set standards of expectations for the board and senior management of financial service providers to promote a culture where the interests of financial consumers are an
    integral part of business operations.
  4. (CRO Panel Discussion)
    OPPORTUNITIES AND CHALLENGES AHEAD
  5. PLATINUM PARTNER
  6. CYBER SECURITY IN THE WORLD OF THE UNCERTAINTY 
  7. BETTER QUANTITATIVE RISK ANALYSIS (Case Study)
    How we saved $13 million on insurance through better quantitative risk analysis without
    changing deductibles or limits.
  8. (International Panel Discussion)
    MITIGATING AND ADAPTING TO IMMINENT CLIMATE CHANGE

 

 

Day 2 - Multiple Sessions

Sessions are moderated by appointed speakers - please see the program brochure PDF.

  1. GOING BEYOND GOVERNANCE, RISK, AND COMPLIANCE
    Examining the latest regulatory developments and how to successfully integrate governance, risk, and compliance in business strategies
  2. ERM : CLIMATE STRESS TESTING (CASE STUDY)
    Delve deep into understanding effective risk management framework that integrates all
    climate-related risks and its interactions with other risk types
  3. VIRTUAL PARTNER SLOT
  4. GOLD PARTNER
  5. REIMAGINING RISK MANAGEMENT IN A DIGITAL WORLD
    Sharing new ways to approach risk in a digital world for enhance performance
  6. SILVER PARTNER
  7. BLOCKCHAIN RISK MANAGEMENT
    Creating new possibilities on an internet enabled virtual world
  8. VIRTUAL PARTNER SLOT
  9. (Panel Discussion)
    SUSTAINABLE FINANCE & RISK MANAGEMENT
  10. (Roundtable Discussion)
    • MARKET / LIQUIDITY RISK
      Model Risk Management On Counterparty Credit Risk (CCR)
    • OPERATIONAL RISK
      Why organizations struggle with key risk indicators and how to make them work
    • CREDIT RISK
      Ensuring Efficient Credit Risk Analysis With Timely, Accurate RWA Reporting And Regulatory Capital Optimisation
    • COMPLIANCE RISK
      Approaches to assessing risks which has the greatest potential for legal, financial, operational, or reputational damage

 

 

Program Facilitators

Alex Sidorenko

Alex Sidorenko

Chief Risk Officer Risk Academy, Switzerland

Dr. Emmanuel Moore Abolo

Dr. Emmanuel Moore Abolo

Group Managing Director/CEO The Risk Management Academy Limited, Nigeria

Dr. Paramsothy Vijayan

Dr. Paramsothy Vijayan

Director Asian Banking School, Malaysia

Hakim Razip

Hakim Razip

Chief Risk Officer Berjaya Sompo Insurance, Malaysia

Zihan Ismail

Zihan Ismail

Head Group Model Risk Management & Validation Group Risk Maybank,...

Zabedah Giw

Zabedah Giw

Head Advisory & Research EXIM Bank, Malaysia

Ahmad Shukri Abd Rahman

Ahmad Shukri Abd Rahman

Chief Risk Officer Bank Rakyat, Malaysia

Chan Tuck Wai

Chan Tuck Wai

Chief Risk & Compliance Officer Gibraltar BSN Life, Malaysia

Satpal Singh Dhillon

Satpal Singh Dhillon

Chief Governance & Risk Officer Plus Malaysia, Malaysia

Vishal Kapoor

Vishal Kapoor

Head of Group Finance Audit and Risk Audit, Executive Director,...

Sushil Israni

Sushil Israni

Executive Director, Trading & Order Management Platform Bank of Singapore,...

Josephine Woo

Josephine Woo

Chief Risk Officer Hong Kong

Abid Adam

Abid Adam

Group Chief Risk, Compliance & Ethics Officer Axiata Group Berhad,...

Steven Low

Steven Low

Chief Risk Officer Prince Bank, Cambodia

Farah Jaafar

Farah Jaafar

Managing Director & Chief Communications Officer Fusang Digital Securities Exchange,...

Gajani Rajah

Gajani Rajah

Chief Risk Officer Sime Darby Plantation, Malaysia

Amorsolo Ian Camara Jr

Amorsolo Ian Camara Jr

Chief Compliance Officer Asian Institute of Management, Philippines

Ahmad Nazri Ismail

Ahmad Nazri Ismail

Chief Risk Officer RHB Islamic Bank, Malaysia

Raj Singh

Raj Singh

Independent Non Executive Director AIB / HSBC / The Co-operative...

Sharizul Baseri

Sharizul Baseri

Chief Risk Officer KPJ Healthcare, Malaysia

Srinivasa Rao Kapala

Srinivasa Rao Kapala

Chief Risk Officer Mirae Asset Global Investments, Hong Kong

Program Time Table

Day Date Start Time End Time
Day 1 March 14th, 2023 8:30 AM 5:20 PM
Day 2 March 15th, 2023 8:30 AM 5:20 PM

Program Location: Pullman Kuala Lumpur City Centre

Address: Kuala Lumpur, Malaysia