Model Risk Management for Financial Institutions EMEA 2026

June 1 - 3, 2026
Artificial IntelligenceMachine LearningFinance

This conference explores the evolving landscape of model risk management amid advancing AI, GenAI, and ML applications. Sessions cover reshaping frameworks, validation practices, and inventory management to ensure robust governance, transparency, and regulatory compliance. Participants will examine harmonizing traditional and emerging models, addressing challenges like non-deterministic outputs, model drift, and ethical decision-making. Practical strategies for risk-based validation, tiered classification, and automated performance reporting will be shared, alongside guidance on SS1/23, the EU AI Act, and integrating compliance with operational efficiency across complex model portfolios.

Location