Sydney and Mumbai - CAFRAL and Macquarie University Program "Leadership, Strategy and Risk"

   May 1st to 11th, 2019
 
09:00 AM to 05:00 PM
 Taj Lands End, Bandra (W), Mumbai

Program Objective

The program, especially designed for senior executives of the Indian financial institutions, focuses on three key themes (i) Leadership, Management and Decision-making in a changing world (ii) Sustainable Strategies for Banks and Financial Institutions and (iii) Risk Culture, Risk Governance and Risk Management.

Why should delegates attend?

  • A comprehensive insight, from national as well as global perspectives, on the above themes, will enhance the knowledge-base and skills of the delegates so they can assume even higher leadership positions in the future.
  • Led by world-renowned professors, with cutting-edge research on leadership and strategy, and practitioners focusing on actual risk management implementation issues
  • A forum for discussion with Regulators, Leading Professors & Practitioners
  • Field visits to: Reserve Bank of Australia Australian Stock Exchange Macquarie-Optus Cyber Security Hub

Program Highlights

  • Leadership, Management and Decision-Making:
    • The role of Leadership in sustaining a Culture of Excellence
    • Building and Leading High Impact Teams
    • “Wisdom in Management”
    • Strategic management and Leadership
    • Governance and Innovation
  • Business Strategy:
    • Business strategy in the context of changing financial sector regulation and market developments
    • How banks can offer differentiated customer experience and gain customers’ trust through strategic initiatives
    • Implications of fintech and blockchain on banks’ business strategy
    • Visit to the Innovation Lab of The Commonwealth Bank (CBA) of Australia
    • HR Strategy for becoming a “Great Place to Work”
  • Risk Culture, Risk Governance and Risk Management:
    • Risk Management, Governance and Capital Planning in Banks
    • Basel III Reforms: Strengthening the resilience of banks
    • Credit Risk and Regulatory Capital: Standardised and IRB Approaches
    • Operational Risk Management and Regulatory Capital
    • Macroprudential Surveillance and Stress Testing of Financial Systems
    • Managing Risk Culture
    • Sustainable Finance and Carbon Risk
    • Financial Market Infrastructure
    • Cyber risk

Documents

Participants Profile

Senior executives (of the level of General Manager or above) from Regulatory Agencies and Financial Institutions

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