Series 2: Climate Risk Management
This module is part of Level 2: Identifying and Reporting Climate-related Financial Risk Workshop.
Module Description
This programme is a continuation of the JC 3 Level 1 Workshop conducted in June 2020, which provided learners with an overview of the impact of climate change and its risk to the financial sector. The Level 2 workshop will focus on the 3R’s (Reporting, Risk Management, Readiness) which relate to how financial institutions and companies can respond to climate-related risks.
Learning Outcomes
Programme Highlights
Learning Outcomes
- Design and implement governance approach for climate risks
- Decide whether to treat climate risk as a standalone or as a cross-cutting risk
- Integrate climate risk into existing risk management frameworks, recognise how the linkages between climate risk and established risk types may be identified and understood
- Conduct risk assessment of financial and non-financial risks to identify, measure, monitor and mitigate the risk within an organisation’s appetite
Programme Highlights
- Risk governance
- Integration of climate-related risks into existing risk management framework
- Defining risk appetite and determining metrics to measure and monitor climate-related risks
- Risk identification, risk measurement and risk management
- Obtaining data and useful tools for risk management
List of Speakers
- Mr. Russell Marsh, Director, EY Corporate Advisors Pte. Ltd
- Ms. Arina Kok, Director, Ernst & Young Advisory Services Sdn Bhd
- Ms. Laura Ramirez, Head of Emerging Markets, 2° Investing Initiative (2DII)
- Mr. Robert Barker, Chief Sustainable Business Officer, CIB APAC, BNP Paribas
- Mr. Alan N Smith, Senior Advisor, Climate and ESG Risk Management, HSBC
*This programme is developed by Ernst & Young in collaboration with the Joint Committee on Climate Change, and funded by the United Kingdom government through the Prosperity Fund ASEAN Low Carbon Energy Programme (LCEP).
Access: Unlimited | |
Learning Materials: 11 | |
Category: Core |