Effective risk management: Controlling liquidity and interest rate challenges
2:00 PM ET / 1:00 PM CT
Financial institutions have been grappling with significant liquidity and interest rate risk challenges over the past year. Understanding these challenges is crucial for adapting and refining your risk management strategies.
Join this webinar to receive practical, hands-on techniques for effectively managing these risks. You’ll acquire skills to make more informed decisions that strengthen your financial institution’s resilience and ensure your next exam goes smoothly.
You will learn:
- How to navigate key regulatory priorities
- Effective strategies for liquidity and funds management
- Methods to optimize your net interest margin
- Essential stress testing scenarios to prepare for your next exam