Management and Supervision of ESG Risks for Credit Institutions and Investment Firms
November 17 @ 9:00 am - 2:30 pm
17 November, 2022
CPD hours: 5
The aim of the seminar is to provide participants with an outline of ESG risk management requirements including common definitions of ESG factors, ESG risks and their drivers and transmission channels, qualitative and quantitative indicators, metrics and methods to assess ESG risks, requirements for stress testing as well as the role in ICAAP and SREP.
According to the “Directive of the Cyprus Securities and Exchange Commission regarding the certifications of persons and the certification register” (RAD 22/2017), it is compulsory that certified persons need to undergo annual training to satisfy the criterion of Continuing Professional Development in order to maintain their certification. This seminar aims primarily to satisfy the CPD requirement of CySEC by offering the overview of Environmental, Social or Governance risk (ESG) risk management requirements for financial institutions in accordance with the international and best-practice guidelines.
This seminar is addressed to the Risk Officers, specialists responsible for risk management, Internal and External Auditors as well as the Members of the Board of Financial Institutions.
All participants will be awarded a certificate. Each hour of attendance will account for one unit of Continuing Professional Development (CPD) as required for members of most professional bodies.