Oct. 19–Nov. 6, 2020

This comprehensive set of learning modules led by senior risk leaders at mortgage-specializing institutions. Topics include elements of risk governance, mortgage credit risk management, operational risk management for mortgage lending, secondary marketing risk management and mortgage risk analytics, among other key risk topics. 

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How risk managers are adapting.

The pandemic has How have risk managers adapted to this new world where public safety issues drive economic and financial outcomes?

Sridhar "Subra" Subramanian, Head of US Consumer Risk, BMO Harris Bank will discuss with Professor Cliff Rossi the challenges associated with developing reasonable scenarios for stress testing bank portfolios during unprecedented times, data issues and key assumptions that go into building robust scenario analysis.

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As the general population has gravitated towards e-commerce, industrial buyers have come to expect more from B2B sites. We’ll look at how you can make your B2B site more engaging and informative for procurement officers. With millennials entering the supply chain field, we’ll also explore what content and platforms they are seeking to guarantee a smart B2B purchase.

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In lieu of our traditional annual Mortgage Risk Summit, please join us for the first of three digital events, all featuring key speakers and industry leaders from the MRS itself.

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Once you’ve decided on your site’s target audience(s), it’s time to design the site with their needs in mind. We’ll explore infusing your company’s site with your unique company brand personality through content and design to guarantee positive user experience. We’ll also look at the nuances of a mobile site/app design to assure a frictionless interaction.

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Where the data gaps that present risks to financial markets and the economy lie.

Federal Reserve Vice Chair of Supervision, Randal Quarles, and Stanford Business professor, Darrell Duffie will discuss the progress on financial stability analysis and data needs since the 2008 financial crisis, what additional gaps the current crisis reveals, and the key issues going forward.

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Annual conference with the Federal Reserve Board

The Federal Reserve Board and Center for Financial Policy to host the third annual conference on short-term funding markets in Washington, D.C.

Download Agenda.

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We will broaden our studies to include concepts of managerial accounting. This type of accounting involves the application of business management tools, including budgeting, cost accounting, performance management, breakeven computations and incremental analysis.

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Our annual conference with the SEC’s Division of Risk and Economic Analysis 

Thursday, September 17, 2020 | 1 p.m.–5:15 p.m.
Friday, September 18, 2020 | 10 a.m.–3 p.m.

This event will be held online.

Download Agenda.

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Considerable meteorological research suggests that the frequency and intensity of North Atlantic hurricanes are on the rise. The focus of this presentation is to assist attendees to better understand the specific impacts of hurricane intensity and frequency on mortgage default.

Clifford Rossi, executive-in-residence and professor of the practice at Maryland Smith, will be moderating the CRO panel on hurricane risk.

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