Marcus Evans Banking Book Risk Management
March 24-26, 2025

As the main sponsor of Marcus Evans' 9th Banking Book Risk Management conference, Mirai Risk Tech invites you to the premier European event for banking book risk professionals. This is your opportunity to engage with industry leaders, explore cutting-edge SaaS solutions, and gain actionable insights to strengthen your financial strategy for enhanced risk management and treasury profitability.
Key Themes Aligned with Our Expertise
- IRRBB & CSRBB Compliance – Ensuring regulatory adherence post-deadline in an evolving risk landscape.
- Market Volatility & Risk Management – Mitigating the impact of fluctuating interest rates.
- Customer Deposits & Interest Rate Fluctuations – Understanding deposit behavior amid changing market conditions.
- Macroeconomic & Geopolitical Influences – Assessing external forces shaping banking dynamics.
- Enhanced Monitoring & Modelling – Strengthening stress testing, risk models, and forecasting.
- Flexible Risk Strategies – Developing adaptive frameworks for liquidity and interest rate risk
- Innovations in Market Risk Management – Leveraging new tools and methodologies for risk oversight.
- Fund Transfer Pricing (FTP) – Optimizing profitability and cost of funds allocation across business lines.
Book a Meeting with Mirai RiskTech
- Expert-Led Insights – Learn from our specialists how to navigate the complexities of banking book risk and balance sheet management.
- Transformative SaaS Solutions – Discover how our cloud-native balance sheet management suite revolutionizes risk and reporting with unprecedented efficiency, speed, and sophistication.
- Tailored Advisory – Get personalized recommendations to enhance your financial resilience and performance.
Book a 1:1 session with Antonio Borras, Head of Presales, for a customized walkthrough of our solutions and explore how Mirai can elevate your Balance Sheet Management operations this 2025.