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Showing 1 - 20 of 96 listings for Location To Be Determined - New York, NY

  1. Nov 05 2013

    2nd Annual FATCA Compliance

    Strategies and Safeguards for a Holistic Implementation Process

    The 2nd FATCA Compliance Forum will bring together industry leaders in tax compliance from across the country to sharpen their comprehension of the complexities of FATCA, implement a platform to ensure high-quality, accurate information, develop…

  2. Nov 04 2013

    2nd Annual Collateral Management

    Collateral Optimization: Managing Increased Demand in an Illiquid Market

    The GFMI marcus evans 2nd Annual Collateral Management Conference is a two-and-a-half day, educational focused meeting. Driven by single-track, case study presentations, the meeting will divulge how financial institutions are managing the liquidity…

  3. Sep 30 2013

    2nd Annual Capital Adequacy, Strategy and Stress Testing Conference

    Developing a winning capital optimization strategy in the complex regulatory environment

    The GFMI 2nd Annual Capital Adequacy, Strategy and Stress Testing Conference will help banks have a better understanding of the evolving regulatory landscape surrounding Basel III and Dodd Frank, as well as develop strategies to acquire and…

  4. Aug 14 2013

    The Cyber Resilience for Banking and Financial Services Conference will provide information cyber security leaders with a unique opportunity to join their peers in rich discussion of issues that are central to enhancing their cyber resilience…

  5. Aug 07 2013

    Core issues such as risk appetite and the implementation and maintenance of a strong risk culture remain a challenge for banks and financial institutions. The 3rd Annual Enterprise Risk Management for Banks and Financial Institutions Conference…

  6. Aug 07 2013

    3rd Annual Enterprise Risk Management for Banks and Financial Institutions Conference

    Effectively quantifying difficult-to-classify risks to gain a more complete view of enterprise-level risk

    The 3rd Annual Enterprise Risk Management for Banks and Financial Institutions Conference will bring together senior level executives in risk management to discuss how to maintain and strengthen a robust ERM framework under heightening regulatory…

  7. Jun 10 2013

    Trade, Commodity and Supply Chain Finance: Liquidity, Funding and Risk

    Explore Profitable Funding Structures Under the New Regulation to Optimize Your Working Capital

    The GFMI Trade, Commodity and Supply Chain Finance: Liquidity, Funding and Risk Conference will help banks and trade finance firms gain a profitable funding structure under Basel III. This high-level, intimate event will allow attendees to…

  8. May 15 2013

    2nd Annual Funds Transfer Pricing and Balance Sheet Management Conference

    Build an Efficient FTP Model to Optimize Profitability Across Core Product Lines

    The GFMI 2nd Annual Funds Transfer Pricing and Balance Sheet Management Conference will help financial institutions to understand how to use FTP to incentivize internal business lines whilst simultaneously managing liquidity risk. The event…

  9. Apr 30 2013

    High Frequency and Algorithmic Trading Conference

    Finding Profit in a Low Volume Environment While Planning for Potential Regulation

    The marcus evans High Frequency and Algorithmic Trading Conference will bring together regulators and top-level executives focused on high frequency and algorithmic trading to discuss how profit can be found in the current low volume environment.…

  10. Apr 30 2013

    High Frequency and Algorithmic Trading

    Finding a profit in a low volume environment while planning for potential regulation

    The marcus evans High Frequency and Algorithmic Trading Conference will bring together regulators and top-level executives focused on high frequency and algorithmic trading to discuss how profit can be found in the current low volume environment.…

  11. Apr 10 2013

    Trade Surveillance and Monitoring

    Establishing best practice for surveillance and monitoring techniques in a global marketplace across multiple asset classes

    The GFMI Trade Surveillance and Monitoring Conference will focus on the surveillance and monitoring systems that should be embedded to ensure the industry is complaint with the incoming Dodd Frank and SEC regulations. Attendees will have the…

  12. Apr 10 2013

    The GFMI 2nd Annual Derivative Funding and Valuation Forum will help banks establish what measures they should incorporate to ensure their derivatives are competitively priced and their costs are minimized. Different techniques such as DVA…

  13. Jan 30 2013

    OMMA's Agency of the Year Awards 2013

    Paying tribute to the year's best in the online media industry

    OMMA’s Agency of the Year Awards 2013 will celebrate the agencies that were able to rise above the rest over the past year, the shops that represented the best of class in the online advertising community. Gold and silver awards will be presented…

  14. Jan 28 2013

    Best Practices in Managing Insurance Assets Conference

    Building Portfolios and Structuring Funds to Meet Insurers' Diverse Requirements

    The Best Practices in Managing Insurance Assets Conference will be a two and half day, industry focused event, specific to Senior Executives working in Banks and Asset Management Companies. Attendees will address challenges in relationships…

  15. Dec 03 2012

    Model Risk

    Quantification, minimization and development of a model risk management strategy

    The GFMI Model Risk Conference will help banks understand what the new guidelines really mean for them in practice and how they could successfully incorporate them into their existing model risk management activities. Moreover, this event will…

  16. Dec 04 2012

    The new FATCA compliance act has caused a major concern for financial institutions in the US and in foreign countries. Some of these concerns simply derive from the deadlines and compliance agreements that several entities must enter into in…

  17. Dec 03 2012

    Model Risk Conference

    Quantification, minimization and development of a model risk management strategy

    The GFMI Model Risk Conference will help banks understand what the new guidelines really mean for them in practice and how they could successfully incorporate them into their existing model risk management activities. Moreover, this event will…

  18. Nov 12 2012

    The Big Data Business Forum connects the dots. The data explosion presents great promise to businesses everywhere, yet most lack the technology and know-how to move beyond the hype to create real business value. This event focuses on the skills…

  19. Nov 07 2012

    Future Pharma Forum 2012 will tackle the biggest challenges facing the life science industry as you operationalize change throughout every part of your business. Trailblazers struggling to respond to disruptive change and forge the path to…

  20. Nov 05 2012

    Collateral Management

    Optimization of collateral under new liquidity constraints

    The GFMI Collateral Management Conference will enable attendees to understand what the new legislation means for collateral management and how to manage the liquidity squeeze whilst simultaneously achieving collateral optimization through stimulating…

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