From geopolitics to inflation, market volatility to climate change, cyber attacks and more – there has never been such a vast array of risks facing commodity trading professionals. To not just survive, but thrive in these uncertain times, new approaches to risk management must be developed and deployed. Our brilliant speakers will tackle key topics such as:
Assessing some of the core challenges in commodities markets today: geopolitics, inflation, an overload of data, complex supply chains – benchmarking different approaches to their management
Technological innovations in risk: cloud, apps, code, sustainability solutions, advanced analytics and AI
Why non-financial risks are on the rise; evolving ESG regulations and sustainability risks
What should be in the risk managers toolkit in 2022?
Future proofing your risk program: what new challenges are likely to await us in 23/24?
Hear from experts including:
Dr Sadar Abdul Rasheed, Director of Commodity Risk Control, Savola Group
Scott Welcome, Director, Grains Risk Management, GoodMills Group
Alex Whittaker, Risk Manager, Bonroy Petchem
Nicolas Jouglard, Head of Financial Risk Management, Constellium
Gary Vasey, Managing Partner, Commodity Technology Advisory
Piero Carello, Global Manager, Agriculture Engagement and Intelligence, S&P Global
Olena Isaiev, Lead Commodity Trading Solutions, KPMG Switzerland