Skip to main content

Liquidity risk management

  • Treasury and capital markets risk, Regulation, governance and compliance

About the course

In today’s volatile market, liquidity risk management is a constraint that can define an institution’s resilience, profitability and regulatory standing. Participants will gain insight on best practices for liquidity risk identification, measurement, governance, management and compliance with Basel standards.  

This course examines core components of effective liquidity risk frameworks, such as high-quality liquid assets, liquidity coverage ratio and net stable funding ratio, by assessing their impact on risk appetite and balance sheet strategy. In addition to designing stress-testing scenarios, participants will delve into liquidity transfer pricing, exploring how liquidity costs and benefits are measured.

Going beyond the basics of liquidity risk management, this course provides participants with the tools to Integrate liquidity monitoring tools, mitigate the impact of stress events and strength governance frameworks.  

Note: region-specific versions of this course are offered for the US and EU. Please refer to the agenda section for details. 


What participants say:

  • ‘The speaker was highly knowledgeable, very engaging and clear in her explanations. It was very enjoyable to listen and the slides were very informative as well’

Learning objectives

  • Apply key liquidity metrics and assess their impact and interaction
  • Understand regulatory expectations and evaluate governance structures  
  • Identify key liquidity risk drivers  
  • Apply liquidity transfer pricing principles to allocated funding costs  
  • Design liquidity stress-testing scenarios  
  • Develop effective contingency funding plans  

Who should attend

Relevant departments may include, but are not limited to: 

  • Risk management
  • Treasury
  • ALM
  • Compliance
  • Regulatory reporting
  • Internal audit
  • Finance

Registration

August 11–13, 2026

Online

13:00 EST

$2499

Book now

Enquire about:

  • Agenda and registration process
  • Group booking rates
  • Customisation of this programme
  • Season tickets options

Contact us

Accreditation

CPD

This course is CPD (Continued Professional Development) accredited. One credit is awarded for every hour of learning at the event.

Enquire now

Expand your learning

Risk.net events

The premier meeting place for the risk community. Providing clarity and guidance on the fast-changing regulatory landscape of capital, credit and market risk, liquidity and derivates use.

Risk Journals

Risk Journals deliver academically rigorous, practitioner-focused content and resources for the rapidly evolving discipline of financial risk management.

Risk Books

Risk Books are authored by leading professionals and academics. With over 150 books spanning 1,000s of chapters, our publications team is committed to connecting readers with these world class experts.

Risk Glossary

Regularly updated by our team analysts, journalists and producers, our glossary demystifies the terminology and acronyms used in risk management, risk transfer, policy, technology and innovation.

You need to sign in to use this feature. If you don’t have a Risk.net account, please register for a trial.

Sign in
You are currently on corporate access.

To use this feature you will need an individual account. If you have one already please sign in.

Sign in.

Alternatively you can request an individual account here