This webinar on September 17th looks at the challenges of GRC, key trends, motives for improvement, future investments, and obstacles that banks and other financial institutions face in trying to improve and integrate their risk management strategy
More Jp morgan articles
Changing hats – December 2013/January 2014
Settlement resolves civil claims over residential mortgage-backed securities
Senior spot traders at JP Morgan, Citi and Standard Chartered have all been placed on leave, while Barclays, Deutsche Bank and UBS confirm they are conducting internal reviews in connection with all...
On the move
Negative events may not damage financial institutions' reputations, conference hears
Future crises will be tougher to resolve if legal risks stop strong banks acquiring wounded competitors, warns CRO for RBS Americas
Attempts to "defend" CDS positions broke the law, CFTC rules
The role of banks in physical commodities is poorly understood, but it is not indispensable
UK and US authorities fine bank over $6.2 billion trading losses in July 2012
In response to industry fears of a collateral crunch, regulators have revised the proposed rules on margining for uncleared over-the-counter (OTC) derivatives.You can find out more by downloading this white paper here.