Model Risk Management for Financial Institutions 2025
December 3 - 5, 2025
Artificial IntelligenceFinance
This industry meeting will offer practical insights into how financial institutions are adapting their model risk management strategies to overcome evolving challenges posed by the nuances of AI. Focused sessions will examine AI’s role in redefining model classification, governance frameworks, and validation techniques. Furthermore, sessions will cover evolving approaches to model stewardship, audit practices, and regulatory guidance. Delegates will take away key methodologies to build effective and scalable model risk management programs tailored for the dynamic AI landscape.
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