Join us for an insightful webinar where Treliant risk experts delve into the intricacies of Credit Risk Management in today’s ever-evolving financial landscape. Explore critical areas such as CRE Concentrations, CECL/ACL Modeling, and Capital Planning. Gain valuable insights into the state of credit market conditions, regulatory scrutiny, and proactive risk management practices that empower financial institutions to anticipate and mitigate risks effectively.

Date and Time: Thursday, June 6th | 2:00PM – 3:00PM (ET)


  1. Understanding CRE Concentrations and Portfolio Reviews: Gain insights into identifying and managing concentration risks in commercial real estate (CRE) portfolios through robust portfolio reviews, ensuring diversification and resilience against market fluctuations.
  2. CECL/ACL Modeling for Accurate Risk Assessment: Explore best practices in Current Expected Credit Loss (CECL) and Allowance for Credit Losses (ACL) modeling to enhance accuracy in forecasting credit losses, aiding in prudent risk provisioning and financial reporting compliance.
  3. Capital Planning and Portfolio Stress Testing: Learn how to conduct comprehensive stress tests to evaluate portfolio resilience under adverse scenarios, informing strategic capital planning and risk mitigation strategies.

Join us to equip yourself with the knowledge and strategies needed to navigate credit risk challenges with confidence and resilience.


Cathy Lemieux, Senior Advisor

Peter Reynolds, Senior Advisor

Mike Schuchardt, Senior Managing Director, Risk Management Solutions

Joe Sergienko, Client Relationship Executive


*Registration is complimentary