Content by Topic: Risk Management

Exploring best practices to proactively mitigate threats to our businesses

GRI aims to empower its members in Canada’s financial sector to build their internal risk management capacity and instill a risk culture at all levels of financial organizations. Educational programs, networking events and leading-edge research reports are all focused on the identification, assessment and mitigation of key risks to the sector and individual organizations within it, both public and private.

GRI acts as hub for risk management-related content and discussions in the financial sector, and as a go-to source for the latest information on emerging risk trends.

Latest News in Risk Management

A woman in front of a laptop showing a financial dashboard. Elements in the background imply an environmental focus.

From Climate to Credit Risk: Scenario Analysis and Capital Considerations for Canadian Financial Institutions

Debanking Meets Integrity Risk: Reconciling Cross-Border Supervisory Expectations

Canadian Financial Services Risk Outlook Survey 2026

Geopolitical, macroeconomic and technology risks rank highest in Global Risk Institute survey of Canada’s financial sector

Portrait of Bank of Canada Governor Tiff Macklem, a white man wearing glasses.

Fireside Chat with Bank of Canada Governor Tiff Macklem

wreckage of a demolished highway bridge after flooding

Cat Bonds as a New Frontier for Climate Risk Management

Led light abstract effect, feeling futuristic and technical

Quantum Briefing Note: Update on Recent Developments in Quantum Research and Commercialization

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GRI Summit 2025 Beyond the Horizon: The Future of Finance in a Technologically Integrated World

closeup of 3 presenters sitting on chairs with one speaking

GRI Summit 2025 Physical Climate Risk-Adjusted Models: Moving from Theory to Reality