9th Annual
CEE Credit Risk Management

19 - 20 March 2013, Vienna, Austria

We would like to thank all participants and partners for making the 9th Annual CEE Credit Risk Management such a wonderful event. If you have any feedback, questions or you are just already looking forward to what we are preparing for you in 2014, don’t hesitate to contact us at This e-mail address is being protected from spambots. You need JavaScript enabled to view it. , or visit the webpage of our

10th Annual CEE Credit Risk Management,  2014

Credit Risk Management Forum 2014 Vienna Fleming Europe

Stay updated by joining our group in LinkedIn: European Risk Management Network

 What was the 9th Annual CEE Credit Risk Management about?

Credit Risk conference WELCOMES Experts from CEE

  • Get fully awareness of extremely challenging bank environment
  • Learn the possible solutions of liquidity problems and banks funding problems
  • Get information how to change adverse conditions to our advantage
  • Become a part of interactive environment of decision makers and don't miss the implementation of new trends

Shifting in both directions

The survey investigating risk levels across eighteen countries found huge differences between surveyed states: out of 185 countries, IMF-dependent Bosnia and Herzegovina ended in 153rd position. This is almost at the opposite end of the spectrum compared to 23rd (and CEE's best-ranking) Estonia.

The 9th Annual CEE Credit Risk Management Forum will give you chance to gain insight on trends in credit risk. Join us in Vienna and benefit from these encompassing themes.


In the chair Stjepan Anic CEE Credit Risk

Emerging Europe vs. Western Europe

  • 2 Keynotes (West - East)
  • 3 Insights from Western Countries (download the agenda for more info)
  • Emerging Europe vs. Western Europe Hotspot

Event Focus

  • Learn about the approaches from different European regions
  • Discuss challenges in moving toward to the unknown
  • Find out more about promoting credit portfolio to higher level
  • Get to know newest recovery and collection trends
  • Gain insight on regulatory challenges
  • Share experience in stress testing
  • Focus on customer expectations in this ever changing environment
  • Network with credit risk experts– learn from each other


Collection and recovery strategies - How to recover money?
  • Focusing on quality customers and accelerating the collections process
  • Find debt recovery success
  • Innovation that enhances C&R performance
  • Loss mitigation techniques
  • Do you know your lessons learned ?
  • Questions & answers

Special Insight

Limitations of Mathematics - Math vs. Reality
  • Assumptions: Between Black-Scholes and „Complete risk-free Markets“
  • Regression models
  • Asset value models
  • Power of Predictions: Be a believer! Between business, predictions and the ugly facts
  • Correlations: Facts or Fictions? Why using risk models? Are they any alternatives?
  • Stress Tests & Reverse Stress Tests - Complementary of risk models?
  • Thinking beyond the math: Exhausting but necessary...
  • Questions & answers

Hot Industry Topics

Risk Modeling, Portfolio Management, Credit Risk Management in Changing Environment, Stress Testing, Special Insight into Limitations of Mathematics, Session about Collection and Recovery, Monitoring the Credit Risk...


Who Will You Meet

Chief Executive Officers, Chief Risk Officers, Vice Presidents, Directors and Heads of Credit Risk, Liquidity Risk, Credit Risk for Retail & SME, Credit Portfolio Management, Regulatory Capital, Basel II & III Project, Management Consultants, Financial Planners & Advisors, Independent Economists and professionals serving the banking industries

Gold Sponsor

fico gold sponsor

Silver Sponsor

exprivia silver sponsor

Bronze Sponsor


Media Partners






Follow us on
Contact Us


Ivana Rovnakova
Marketing Manager

Join me on LinkedIn

+421 257 272 144