CAFRAL and Macquarie University Program “Leadership, Strategy and Risk”
 
Learning

Indian leg – Apr 30-May 2, 2019 (Non-residential)
Salcette I & II, Taj Lands’ End, Bandra(W), Mumbai, India

Overseas leg – May 5- May 11, 2019 (Residential)
Macquarie University City Campus, Sydney

Program Objective 

The program, especially designed for senior executives of the Indian financial institutions, focuses on three key themes (i) Leadership, Management and Decision-making in a changing world (ii) Sustainable Strategies for Banks and Financial Institutions and (iii) Risk Culture, Risk Governance and Risk Management. 
Why should delegates attend? 
      • A comprehensive insight, from national as well as global perspective, on the above themes, will enhance the knowledge-base and skills of the delegates so that they can assume even higher leadership positions in future.
     •        Led by World-renowned professors, with cutting edge research on leadership and strategy and Practitioners focusing on actual risk management implementation issues 
      • A forum for discussion with Regulators, Leading Professors & Practitioners
      • Field visits to Reserve Bank of Australia, Australian Stock Exchange, Macquarie -Optus Cyber Security Hub, etc. 
Program Highlights:
(i) Leadership, Management and Decision-Making:  
      • The role of Leadership in sustaining a Culture of Excellence 
      • Building and Leading High Impact Teams 
      • “Wisdom in Management”
      • Strategic management and Leadership
      • Governance and Innovation 
(ii) Business Strategy: 
      • business strategy in the context of changing financial sector regulation and market developments. 
      • how banks can offer differentiated customer experience and gain customers’ trust through strategic initiatives 
      •   implications of fintech and blockchain on banks’ business strategy
      • Visit to the Innovation Lab of The Commonwealth Bank (CBA) of Australia 
      • HR Strategy for becoming a “Great Place to Work” 
(iii) Risk Culture, Risk Governance and Risk Management:
      • Risk Management, Governance and Capital Planning in Banks
      • Basel III Reforms: Strengthening the resilience of banks 
      • Credit Risk and Regulatory Capital: Standardised and IRB Approaches 
      • Operational Risk Management and Regulatory Capital 
      • Macro prudential Surveillance and Stress Testing of Financial Systems 
      • Managing Risk Culture
      • Sustainable Finance and Carbon Risk
      • Financial Market Infrastructure 
      • Cyber risk
 

Participants Profile

Senior executives (of the level of General Manager or above) from Regulatory Agencies and Financial Institutions

Rs. 495,000/- + @18% GST

Address N/A Timing 9:00

Program Conditions

a) Program fee is payable before the program.
b) Organisation may depute another officer for the program, if the nominated person cannot attend the program.
c) Program fee will not be refunded, if the nomination is cancelled.
d) 25 seats only on first come first serve basis
e) Last Date for Filing Nominations: April 2, 2019.

Contact Details

Amarendra Mohan

Sr. Program Director

+91-22-2657 1020/+91-9820349455
amarendra.cafral@rbi.org.in  

  

Vinita Jain

Program Officer
+91-22-2657 1019/+91-9892883647
vinita.cafral@rbi.org.in 

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