7th Annual CEE Credit Risk Management

Venue: Prague

Location: Prague, Czech Republic

Event Date/Time: Apr 05, 2011 End Date/Time: Apr 06, 2011
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Description

The 7th Annual CEE Credit Risk Management will focus on new practices in credit risk management to help credit risk professionals effectively manage portfolio profitability in the midst of changing regulatory, market, and customer behaviors.
Attendees will gain insights into innovations in the risk tradeoff decisions that promote growth of a balanced portfolio in the new environment, as well as learn how to reassess geographic, customer, channel, and portfolio management priorities.
Join the experts in the grand city of Prague and gain discovery experience!

Key advisors:
* Serge Goossens, Senior Quantitative Analyst, Dexia
* Dominique Blanc, Executive Director Risk Management, SKB, Societe General Group
* Alejandro Garcia-Monterde, SME Risk Team, Raiffeisen International, Austria

Key speakers:
* Zsuzsanna Nemeth, Credit Risk Director, CIB Bank, Hungary
* Dominique Blanc, Executive Director Risk Management, SKB, Societe Generale Group, Slovenia
* Serge Goossens, Senior Quantitative Analyst, Dexia, Belgium
* Alan Vaksman, First Vice President, Board Member, Gazprombank, Russia
* Alejandro Garcia-Monterde, SME Risk Team, Raiffeisen Bank International AG, Austria
* Nicoleta Alexandru, Head of Credit Risk Management, ING, Romania
* Daniel Serban, Risk Director, BRD Finance - Groupe Societe Generale, Romania
* Volkan Döşoğlu, Director, Retail Credits Collections Department, Teb, Turkey
* Krzysztof Czerkas, Member of Management Board, BRE Bank, Poland
* Andreas Weingessel, Head of Group Risk Control, Erste Group, Austria
* Övünç Şişman, Head of Risk Management, Garantibank International
* Radek Lastovicka, Managing Director, Coface Czech Credit Management Services
* Tomas Magyar, Director - Credit Risk Models, CSOB, KBC Group, Czech Republic
* Fakhri Sarjan, Director - Head Portfolio Management - Global Credit Products, Deutsche Bank
* Franck Marzilli, Head of compliance and controllership, Member of the Board, GE Money

Key topics:
* Focus on the new approaches in credit risk management
* New Basel III regulatory development and it’s impact on credit risk
* Integration of operational risk into credit risk management
* Improvements of the stress testing techniques
* Management of the counterparty risk with excellence
* The future role of rating agencies in credit risk
* Ways to change approach in the post crisis Europe

Venue