News

Risk Management in Banking and Non Banking Financial sector  

Date: 07-02-2025

The seminar on Risk Management in Finance was organized to educate participants on the importance of risk management in the financial sector. The event brought together experts from the industry, including financial analysts, risk managers, and regulatory professionals, to share their insights and experiences on managing financial risks.

The seminar covered various critical topics such as market risk, credit risk, operational risk, and liquidity risk. Industry leaders discussed best practices in risk assessment, mitigation strategies, and the role of regulatory frameworks in maintaining financial stability. Participants had the opportunity to engage in interactive discussions, case studies, and practical workshops that provided a deeper understanding of real-world risk scenarios.

Keynote speakers addressed the impact of global financial trends on risk management and explored innovative risk management techniques, including the use of artificial intelligence and machine learning in predictive analytics. The event also featured panel discussions where experts debated the challenges and future outlook of risk management in an increasingly volatile financial environment.

Overall, the seminar provided invaluable insights for students seeking to enhance their risk management strategies, ensuring that they are better equipped to navigate the complexities of the financial landscape.