GARP 2025 Financial Risk Symposium

Managing Risk: Financial & Non-financial

As geopolitical tensions rise, economic volatility persists, and evolving technology continues to progress at a rapid pace, the role of risk professionals has expanded well beyond overseeing traditional financial risks.

The 2025 GARP Financial Risk Symposium will explore key challenges confronting risk managers in an increasingly complex global environment, including:

  • Navigating geopolitical, economic, and regulatory uncertainty in the post-election landscape
  • Leveraging Generative AI models for risk management and decision-making
  • The growing influence of private credit and its associated risks
  • Implications of Basel III implementation on financial institutions
  • Emerging trends in credit modeling and liquidity risk management
  • Strengthening resilience against technology disruptions and climate-related threats
  • The evolving responsibilities and skill sets required for CROs and risk professionals

Event schedule

March 6, 2025, 8:00 am-5:30 pm EST