Navigating a changing interest rate
environment and maintaining profits
during a time of instability.
INTEREST RATE RISKCeFPro Webinar's______Register for webinar____________________________________________________________________________________________

CeFPro Webinars

What will be discussed?

Join us for a deep dive into the evolving interest rate landscape and discover how financial institutions can stay profitable amid instability. This webinar will explore effective strategies for forecasting rate movements, optimizing funding, improving deposit modeling, and implementing robust hedging approaches. Attendees will gain practical insights into navigating uncertainty with dynamic, risk-aligned strategies tailored to their institution’s size and objectives.

Agenda highlights

Join us as we explore:

  • Expert analysis of current and future interest rate trends to support proactive decision-making.
  • Tactics for reducing reliance on wholesale funding while maintaining strong profitability.
  • Best practices for modeling and pricing deposits in a volatile rate environment.
  • Comparative insights into dynamic vs. programmatic hedging strategies to manage interest rate risk effectively.
  • Frameworks for strengthening governance and internal controls during periods of financial instability.
  • Guidance on tailoring risk management strategies to your institution’s size, structure, and risk appetite.

CeFPro Webinars

Register for free webinar

Thought Leaders

Webinar Speakers

Danny Dieleman
Director Wholesale Banking Capital Treasury
ING Wholesale Banking

Jacek Rzeznik
Deputy Director ALM Risk
mBank

Mukesh Kumar
Executive Director – Market Risk/ALM/Treasury/IRRBB
ING

Key takeaways

What will you learn from this webinar:

  • Forecasting Interest Rate Trends

    Expert analysis of current and future interest rate trends to support proactive decision-making.

  • Reducing Wholesale Funding Risks

    Tactics for reducing reliance on wholesale funding while maintaining strong profitability.

  • Smarter Deposit Modeling & Pricing

    Best practices for modeling and pricing deposits in a volatile rate environment.

  • Dynamic vs. Programmatic Hedging

    Comparative insights into dynamic vs. programmatic hedging strategies to manage interest rate risk effectively.

  • Stronger Governance & Controls

    Frameworks for strengthening governance and internal controls during periods of financial instability.

  • Tailored Risk Management Strategies

    Guidance on tailoring risk management strategies to your institution’s size, structure, and risk appetite.

Our Trusted Partners

Content and Media Partners

Join us

Would your organization like to partner with us on this webinar?

To discuss how we can deliver your thought-leadership on this webinar, help you generate leads, and provide you with unique networking and branding opportunities, please contact [email protected] or call us on +44 (0)207 600 3543 more information.