Risk Europe

Where leaders of financial risk management expand their knowledge of cutting-edge solutions.​

Where leaders of financial risk management meet and exchange ideas on how to get ahead in the new era of risk ​

June 7, 2023 - London

Nobody knows what the future holds but it’s a safe bet it won’t look much like the past. From the organisers of Risk Live and Risk USA, our unrivalled agenda is steered by the Risk.net editorial team and our advisory board and gives you the practical, forward-looking insights and the innovative solutions needed to get ahead in the new era of risk. ​

Disruption and innovation in risk management
Automation, robots and the data-dependent financial institution
Aligning risk appetite and climate risk
Risk in the era of volatility, inflation and rising rates 

Jeremy Arnold

CRO

NatWest Markets

Jeremy Arnold joined NatWest Markets as chief risk officer in September 2018 and is responsible for leading the organisation's risk function by defining and delivering risk, conduct, compliance and financial crime strategies to support its ambition, strategy and risk appetite. He has extensive experience, spanning a variety of roles in trading and risk management over the past 30 years at a number of leading global financial institutions.

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Nick Silitch

Former chief risk officer

Prudential

Nick Silitch was recently senior vice president, chief risk officer of Prudential Financial, Inc. In this role, Silitch oversaw Prudential’s risk management infrastructure and risk profile across all business lines and risk types. Under his direction, his team developed models, metrics, frameworks and governance to manage risk, and works with internal corporate partners and business groups to identify, assess and prioritize risk across the company. He was chairman of the organization’s Enterprise Risk Committee that evaluates current and emerging risks relevant to the company, and is a member of Prudential’s Senior Management Council.

Silitch also worked with external stakeholder groups to forward industry interests. He was head of the International Affairs Committee for the North American Chief Risk Officers’ Council, and a member of the Advisory Council for the International Association of Credit Portfolio Managers.

Silitch joined Prudential in 2010 as chief credit officer and head of investment risk management, overseeing Prudential’s general account and other proprietary investment risks globally, as well as maintaining and approving Delegations of Authority and Investment Policy Statements.

Prior to joining Prudential, Silitch held the position of chief risk officer of the Alternative Investment Services, Broker Dealer Services and Pershing businesses within Bank of New York Mellon. He also served on the Pershing Executive Committee.

Silitch joined Bank of New York Mellon in 1983 as a credit trainee. Throughout his career at the bank, he held senior positions in client management, investor relations, risk management, loan restructuring, credit portfolio management and Basel compliance.

He received a bachelor’s degree in economics from Colby College.

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Chris Knight

Director

Market Partners

Chris is currently the Director of Market Partners Pty Ltd and is assisting the cross-asset electronic liquidity provider XTX Markets in its distribution push in Asia-Pacific. Chris was previously Head of E-Trading (East) FXRC at Standard Chartered where he was responsible for executing the banks electronic trading strategy across Rates, FX and Credit trading. He is a seasoned foreign exchange practitioner with over 25 years of foreign exchange trading experience. He returned to Australia a year ago after spending the 17 years of his career in Asia with senior roles in Tokyo, Hong Kong and Singapore. Chris is a member of the Global ACI FX Committee and is also a member of the Australian FX Committee which operates under the sponsorship of the Reserve Bank of Australia.

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Trevor Leydon

Global CRO

Lombard Odier Investment Managers

Trevor Leydon oversees Aviva Investors' portfolio construction and risk for multi-asset strategies, providing overarching quantitative discipline to the portfolio management process. This includes monitoring and providing risk parameters for individual portfolios and top level reporting to senior management. Prior to joining Aviva Investors, he was responsible for UK and Ireland risk control at UBS Global Asset Management. Leydon joined the industry working for HSBC's investment bank in risk before moving to Santander's global banking and market risk team. He holds a masters degree in accounting and finance from the University of Ulster, having graduated from Dublin Business School. He is also a fellow of the Association of Certified Chartered Accountants.

 

 

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Andreea Petreanu

Head of Credit Risk

MIZUHO

Key themes for 2023:

  • Update on regulatory frameworks for risk management in 2023​

  • How geopolitical events, shocks, and pressures are shaping the environment for financial risk managers in 2023​

  • The changing role of the chief risk officers/risk manager in response to geopolitical events​

  • Technological innovation and disruption in risk management ​

  • Model risk management (MRM) ​

  • Focus on liquidity risk​

  • New drivers in credit risk​

  • ML and AI in risk management 

Risk Europe Content Hub

We've put all our content for Risk Europe in one easy to access place. 

This includes all Risk.net articles, special reports, webinars, event content, and podcasts.

CONTENT HUB

Brand amplification

Be seen and stay front of mind for our audience of CROs, and wider risk professionals.

Lead generation

Meet and network - we are combining virtual and in-person events. Your team can benefit from face-to-face connections with senior decision-makers, whilst our AI-powered matchmaking tool will enable you to meet the right people.

Thought leadership

Be heard - distribute intelligence and content through speaking and content dissemination opportunities.

New contacts

Meet, network and connect with respected decision-makers our in-person events brings the most influential global leaders together in one place to discuss key issues that are happening in the industry right now.

website with latest risk management reports

Risk Library

Check out our latest whitepapers on AI/ML, data, automation, next generation risk management and more.

RISK LIBRARY

Risk Learning, Risk Live

Risk Learning

The leading provider of learning & development for professionals working in risk management, derivatives and complex financial markets.

Solutions cover: ESG, climate risk, operational risk, quant & model risk, transformation & technology, and treasury & capital markets risk.

Find out more

If you have any queries regarding Risk Europe, please contact the relevant person below: