Sustainable finance, ESG and climate risk management workshop
View AgendaKey reasons to attend
• Gain insights into global and local climate regulatory developments
• Explore emerging themes in environmental, social and governance (ESG)
• Assess transition pathways and initiatives to achieve net-zero goals
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About the course
In this interactive in-person workshop, attendees will deepen their understanding of sustainable finance, ESG and climate risk management. Led by an expert practitioner, the workshop will cover key topics such as transition planning, sustainable finance instruments and carbon markets.
Participants will explore how financial institutions are addressing the latest climate risk challenges by integrating global and local regulatory guidance, strengthening governance practices and leveraging data-driven insights. The training will also examine scenario analysis methodologies, sustainability disclosures and best practices for aligning with net-zero goals.
Join this in-person workshop for real-world case studies, interactive discussions and valuable peer insights.
See the ‘Agenda’ and/or ‘Registration’ sections for available dates and locations.
Pricing options*:
- Early-bird rate: save up to $500 per person by booking in advance
- 3-for-2 rate: save over $3,000 by booking a group of three attendees
- Subscriber reward: save 30% off the standard rate if you are a Risk.net subscriber
- Season tickets: cost-effective option for groups of 10 or more. Learn more
*T&Cs apply
Learning objectives
- Explore why ESG is important for risk management
- Integrate ESG and climate risk factors into business practices
- Evaluate key elements of scenarios to calculate physical and transition risks
- Examine carbon trading and its current implications
- Address sustainability data concerns
- Apply concepts through an interactive case study exercise
Who should attend
Relevant departments may include but are not limited to:
- Climate risk
- Model risk
- Risk reporting
- Risk management
- Data management
- ESG
- Sustainable finance
- Transition finance
Agenda
June 19, 2025
In-person. Location: London, UK
This workshop is part of Risk Live Europe (June 17–18, London, UK) and will be held the day after the conference.
If you are attending or planning to attend Risk Live Europe, please complete this form to claim your discounted rate*.
Sessions:
- Setting the context: sustainability by ESG, climate risk and net zero
- Understanding the relation to climate & nature risk analytics
- Inputs to decarbonisation and transition plans
- Overview of carbon calculations and carbon markets
- Sustainable finance
- Challenges and emerging themes in ESG
Tutor:
- Navin Rauniar, Sustainability adviser, PRIMA
*T&C apply
June 26, 2025
In-person. Location: Tokyo, Japan
This workshop is part of Risk Live Japan which will take place two days after the conference.
Click here to learn more about the workshop and conference rates.
Venue: FEEEP Yaesu (Nihonbashi) store, Fuji Building Annex 3F, 1-4-4 Yaesu, Chuo-ku, Tokyo
Sessions:
- Setting the context: ESG and climate risk
- Sustainability disclosure and regulatory landscape
- Transition plans
- An overview of climate-related scenario analysis
- Sustainable finance
- Challenges and emerging themes in ESG
- Case study
September 26, 2025
In-person. Location: Singapore
This workshop is part of Risk Live Asia which will take place one day after the conference.
Click here to learn more about the workshop and conference rates.
Venue: CityHub Collyer Pte Ltd, 20 Collyer Quay, Level 23, Singapore 049319
Sessions:
- Setting the context: (ESG) and climate risk
- Sustainability disclosure and regulatory landscape
- Transition plans
- Overview of climate-related scenario analysis
- Sustainable finance
- Challenges and emerging themes in ESG
- Case study
Tutors
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Navin Rauniar Risk Learning Faculty
Non-exec & Independent director
Quantico
Navin is an ex-banking professional, and most recently was working as a senior leader and practitioner, with 20+ years of banking, corporate, and big four experience. He advises board and CxO members across business and technology, using domain expertise that focuses on sustainability, capital markets, and risk management, driven by prudential regulation in ESG, climate risk, carbon markets, sustainable financing, net zero, and capital management impacting an institutions’ strategy, governance, and implementation.
Navin was most recently leading the sustainability business and technology delivery for TCS and Tata clients. His international experience assisted in building diverse global teams.
Navin sits on a number of government and private industry committees, developing and influencing public policy on sustainability standards. Navin supports the financial markets community via mentoring of professionals and serving as the co-chair of the PRMIA ESG Working Group & PRMIA SteerCo. He is a regular speaker and chair at conferences, as well as a frequent commentator and author to the media on financial market regulations, including a column on sustainability that is published in ILFR.
Accreditation
This course is CPD (Continued Professional Development) accredited. One credit is awarded for every hour of learning at the event.
Pre-reading materials
The Risk.net resources below have been selected to enhance your learning experience:
- Corporate ‘greenium’ reveals effect of ESG rules on returns
- EU banks fear green asset ratios paint an unfair picture
- Acadian model detects gaps between climate goals and reality
A Risk.net subscription will provide you access to these articles. Alternatively, register for free to read two news articles a month.