What is Model Risk and How is it Managed?
Models are a common feature in financial institutions, requiring effective model risk management.
Technology Risk & Operational Risk
The third of three guest blogs from Shannon Harris at Cefpro.
Vendor and Third-Party Risk Management
The second of three guest blogs from Shannon Harris at Cefpro.
Sarbanes-Oxley (SOX): A Simple Guide
Our Product Marketing Manager gives an overview of the 2002 act.
Operational Risk Management: A Diverse Role
Exploring the changing role of Op Risk in today's dynamic landscape.
AI Isn’t Magic, It Too Needs Accurate Data
Henry Umney responds to suggestions the spreadsheet is outdated.
CCAR & DFAST: A Simple Guide
What Are CCAR & DFAST? If you work in, or in a role linked to, the US financial sector you will have heard of CCAR and DFAST. However, would it help you to understand what these regulatory frameworks involve, what impact they have on the US banking sector and the challenges they present to financial […]
3 Steps For A Successful EUC Control Project
Recent years have seen more businesses looking to gain greater control over the spreadsheets that are central to their business. With poor End User Computing management posing so many risks, it makes sense for companies to be aware of how to mitigate these threats. However, often very few people have the knowledge for more in-depth […]
RegTech Is Here & Going Mainstream
Find out more about the growing industry of regulatory technology, better know as RegTech...
UK PRA Raises The Bar On Stress Testing
The UK’s Prudential Regulatory Authority’s (PRA) Model Risk Management Principles For Stress Testing (SS3/18), which took effect on 01 June 2018, raises the bar for many institutions in the way that they undertake model risk management practices when using stress test models. As institutions step up their efforts to meet these latest stress testing standards, […]