(Specific) Risk Management & Control Strategy

[Webinar] Practices in ESG and Climate Risk Management within Financial Institutions

(The webinar will be delivered in Cantonese and via Zoom)


This course is designed to deepen the understanding of how financial institutions can enhance risk management practices to effectively incorporate Environmental, Social, and Governance (ESG) and climate risk. It addresses the growing importance of ESG factors and climate risks in financial institutions, driven by regulatory changes, stakeholder expectations, and the global shift towards sustainability.


1. Introduction to ESG and climate risks
2. Climate risk drivers and transmission channels
3. Assessment and measurement of ESG and climate risks
4. Role of technology in managing ESG and climate risk management
5. ESG and climate risk reporting
6. Regulatory guidelines and trends

Who should attend

Risk management specialists, compliance managers, financial managers, sustainability managers, and senior management such as ROs, Managers-in-Charge, directors, CROs, COOs, CFOs, CEOs

Speaker/Course Instructor

Mr Roger Leung has 25 years of banking experience in retail and investment banking risk management. Roger received his MSc in Global Finance from HKUST and Master of Laws from the HKU. He is currently a senior ESG consultant of an international consultancy firm.

Prior to his current role, he was AGM of risk management department in a listed bank. He led the implementation of various risk management projects. He also holds several professional certificates, including CPA (Aust.), CGMA, FRM, SCR and CISA.


Date & Time
Monday, 22 Apr 2024 (6:30PM - 9:30PM)
Virtual Platform
Relevant Subject
Type 1 - Dealing in securities
Type 2 - Dealing in futures contracts
Type 3 - Leveraged foreign exchange trading
Type 4 - Advising on securities
Type 5 - Advising on futures contracts
Trad. Chi / Cantonese
SFC:3.00, PWMA:3.00