[Webinar] Climate Risk Management for Financial Institutions
Climate change is not an hypothetical threat anymore. It has materialised in countless geographies around the world with ever increasing extreme events.
How can you manage the risks? And what risks are we talking about precisely?
In this webinar we are going to break down the whole spectrum of risks to anticipate but also provide guidance on how to avoid pitfalls.
At the end of the webinar, participants will be upskilled on handling different types of risks related to climate change including:
- Physical risks
- Transition risks
- Other risks
- Overview of the severity of climate change
- Breakdown of physical vs transition risks
- Cascading mechanisms and transmissions to financial sphere and real economy and society
Senior management such as Responsible officers, Managers-in-Charge, directors, CIOs, COOs, CEOs, risk managers and investors who would like to have a better understanding of climate risk management in the financial industry.
Marika has 10 years of working experience in investment banking, consulting, and intergovernmental organisations. Before joining Sustainalytics, Marika worked at the UN Global Compact in Singapore advocating the UN Sustainable Development Goals (SDGs) for corporate sustainability. In 2020, Marika has co-authored a report on how to close the SDG financing gap in ASEAN.