Hybrid Conferencee

International Conference on Risk Management in Banking and Finance (ICRMBF - 26)

12th - 13th October 2026 | Zurich, Switzerland

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Conference Notifications:

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Call for Papers Extended:
"The deadline for full paper submissions has been extended for the Research Plus International Conference in Zurich. Submit your research by today to participate in one of the top conferences."
Certificate of Presentation:
"Present your research and receive a Certificate of Presentation to recognise your valuable contribution to the conference."
Abstract Submissions Open:
"Abstract submissions for the Zurich event are now open! Don’t miss the chance to present your research. Submit now."
Networking with Global Experts:
"Engage with researchers and professionals from around the world at the Zurich conference. Build collaborations and gain insights from leading experts."
Keynote Speaker Sessions:
"Don’t miss our Keynote Sessions in Zurich, featuring global leaders and innovators sharing their knowledge."
Best Paper & Best Paper Presentation Award:
"Submit your paper and stand a chance to win the Best Paper Presentation Award. The winner will be recognized at the conference in Zurich."
SDG-Inspired Conference Focus:
"Our conference will highlight research that addresses global sustainability, inclusive education, and solutions for environmental challenges."

Conference Session Tracks

SDG Wheel

Aligned with

UN Sustainable Development Goals

This conference contributes to global sustainability by aligning its research discussions and academic sessions with key United Nations Sustainable Development Goals. It fosters knowledge exchange, innovation, and collaborative engagement.

SDG 1
SDG 1 No Poverty
SDG 8
SDG 8 Decent Work and Economic Growth
SDG 9
SDG 9 Industry, Innovation and Infrastructure
Track 01

Innovations in Risk Management Practices

This track explores cutting-edge methodologies and technologies in risk management within the banking and finance sectors. Papers may focus on the integration of artificial intelligence and machine learning in identifying and mitigating various financial risks.

Track 02

Credit Risk Assessment and Mitigation

This session addresses the latest developments in credit risk evaluation and management strategies. Contributions should examine both qualitative and quantitative approaches to enhance credit risk frameworks.

Track 03

Operational Risk: Challenges and Solutions

This track delves into the complexities of operational risk in financial institutions, highlighting case studies and best practices. Participants are encouraged to present innovative solutions that address operational vulnerabilities.

Track 04

Market Risk Dynamics in Volatile Environments

This session focuses on the assessment and management of market risk amidst fluctuating economic conditions. Papers should analyze the effectiveness of various hedging strategies and risk mitigation techniques.

Track 05

Enterprise Risk Management Frameworks

This track examines comprehensive enterprise risk management (ERM) frameworks and their implementation in banking and finance. Contributions should discuss the integration of ERM with corporate governance and strategic planning.

Track 06

Regulatory Compliance and Risk Management

This session addresses the intersection of regulatory compliance and risk management practices in the financial sector. Papers should explore the implications of evolving regulations on risk assessment and mitigation strategies.

Track 07

Risk Analytics: Tools and Techniques

This track highlights advancements in risk analytics, focusing on tools and techniques that enhance risk assessment capabilities. Participants are invited to present empirical studies demonstrating the application of analytics in risk management.

Track 08

Financial Stability and Systemic Risk

This session investigates the relationship between financial stability and systemic risk within the banking sector. Contributions should analyze factors contributing to systemic vulnerabilities and propose frameworks for enhancing stability.

Track 09

Stress Testing and Scenario Analysis

This track focuses on the methodologies and applications of stress testing and scenario analysis in financial institutions. Papers should evaluate the effectiveness of these tools in preparing for adverse economic conditions.

Track 10

Portfolio Risk Management Strategies

This session explores innovative strategies for managing portfolio risk in diverse investment environments. Contributions should address the balance between risk and return, incorporating both traditional and alternative asset classes.

Track 11

Banking Supervision and Risk Governance

This track examines the role of banking supervision in enhancing risk governance frameworks. Papers should discuss the effectiveness of supervisory practices in promoting sound risk management within financial institutions.