Webinar | 26 June 2025
Navigating Geopolitical Risks for banks
In our webinar series on geopolitical risk management, we will be giving a webinar for our banking clients on Thursday, 26 June.
What does the trade war, waning confidence, the collapse of trading blocs, and inflation uncertainty mean for capital and liquidity? What does an attack on essential infrastructure, such as the electricity grid or water supply, mean for the operations of a bank? What to do with cloud services? What are relevant scenarios, and what are mitigating measures? What are scenario-agnostic mitigating measures that increase resilience anyway?
In this webinar, we discuss the fundamentals of geopolitics and analyze how geopolitical shifts influence macroeconomic stress scenarios and how geopolitical risks can be integrated into strategic decision-making. We will provide updated content and we will answer your questions.
What topics are crucial?
- What is the ECB’s view on addressing geopolitical risks?
- How do you identify geopolitical risk factors?
- What measures can a board consider?
- How do you set up a sound process to integrate geopolitical risk management into risk management and the ICAAP/ILAAP.
For whom and why should you participate?
This webinar is relevant for directors, risk managers and employees of banks who want to know how to integrate geopolitical risks into risk management and decision-making within an increasingly uncertain geopolitical landscape.
- Speakers: Gerd-Jan van Wiggen, Rens Borsje
- Moderator: Pim Poppe
- Date: June 26, 2025
- Day: 08:15 – 09:00