La conférence se tiendra en francais
Key focus areas
- RECESSION: Navigating the growth and inflation challenges from the energy shock
- INFLATION: Banking and insurance industry under higher inflation, tighter monetary policy
- NET ZERO: Reaching sustainability targets amidst evolving regulatory guidance
Agenda
Registration & networking
RECESSION
Navigating the growth and inflation challenges from the energy shock
- What are the credit impacts of this year’s increase in energy prices?
- How is the growth and inflation outlook evolving?
- How much fiscal space do euro area countries (or France) have to take measures to counteract the impact of higher prices?
- What kind of role might the ECB’s crisis-fighting toolkit have in mitigating risks to governments’ financing costs?
INFLATION
Banking and insurance industry under higher inflation, tighter monetary policy
- Will asset quality and profitability deteriorate?
- Can businesses and households ride out the inflationary shock and higher interest rates?
- Is the bancassurance model more resilient given the upcoming challenges?
Coffee break & networking
THE PATH TO NET ZERO
Reaching sustainability targets amidst evolving regulatory guidance
- What needs to happen to ensure comparable disclosures?
- Which standards for reporting on E risks ?
- How will climate stress tests unfold?
- How will banks avoid stranded assets transitioning to net-zero?
Light lunch & networking
Engage with subject matter experts on key trends shaping banking
End of the event
Event Details:
Venue Name: Hotel Lutetia
Address: 47 Bd Raspail, 75006 Paris, France
Date: October 18, 2022
Time: 09:30 - 12:45 CEST
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Alain Laurin is an Associate Managing Director in the Financial Institutions group with responsibility for ratings on banks in France, the Benelux, Italy and Iberia.
Prior to joining Moody’s in August 2008, Alain was at Banque of France for 25 years where he held several positions in the International department – including a seven-year secondment to the World Bank – and at the Banking Commission where he was Director of off-site supervision between 2006 and 2008.
Alain holds a Master Degree in Economics (University of Bordeaux) and Sciences Po (Bordeaux).
Alain Laurin is an Associate Managing Director in the Financial Institutions group with responsibility for ratings on banks in France, the Benelux, Italy and Iberia.
Prior to joining Moody’s in August 2008, Alain was at Banque of France for 25 years where he held several positions in the International department – including a seven-year secondment to the World Bank – and at the Banking Commission where he was Director of off-site supervision between 2006 and 2008.
Alain holds a Master Degree in Economics (University of Bordeaux) and Sciences Po (Bordeaux).
Olivier Garnier is Director General for Statistics, Economics and International at Banque de France. He is a member of the Eurosystem Monetary Policy Committee.
Before joining Banque de France in 2017, he was the Group Chief Economist of Société Générale and a member of the Group’s General Management Committee. He has also been Deputy-CEO of Société Générale Asset Management.
He started his career at the French Ministry of Finance where he held various positions. In particular, he was the Economic Adviser to the Finance Minister from 1994 to 1997, and to the Treasury’s Director in 1992-1993. He also served as an economist at the US Federal Reserve Board in Washington DC from 1990 to1992.
Olivier Garnier was President of the French Economic Association (Association Française de Science Economique) in 2021-2022, and a member of the Economic Advisory Council to the French Prime Minister from 2002 to 2012.
He is a graduate of Ecole Polytechnique, Ecole Nationale de la Statistique et de l’Administration Economique (E.N.S.A.E.), and the University of Paris-Dauphine.
Sarah has been the lead analyst for most countries in the European Union, and is also a former lead analyst for the United States. She is currently the lead analyst for France and Italy, among other European countries. She is also one of the Sovereign Risk Group’s global spokespeople.
She joined Moody’s in 2009 after completing a Sloan Fellowship at the London Business School. Prior to this academic sabbatical, she spent seven years at the Financial Services Authority in London where she headed the regulator’s Risk Analysis area and acted as its chief macroeconomist. Before joining the FSA, she worked in Dun & Bradstreet’s Economic Analysis Group for six years, where she was the organisation’s Deputy Chief Economist.
She holds an MA in European Studies (with a concentration in Economics and Finance) from the Elliott School of International Affairs at the George Washington University in Washington, DC and an AB with a double major in Government and History from Dartmouth College in Hanover, New Hampshire in the United States. She is a CFA Charterholder and is co-chair of the Macroeconomic Committee of the CFA Society France. She is a dual citizen of the United Kingdom and the United States and is based in Paris.
Laurent is Group Credit Officer, responsible for the proper implementation of policies, procedures and methodologies, for financial institutions across EMEA. Prior to his role, Laurent had been lead analyst for financial institutions in France and the Benelux region since February 2015.
Prior to joining Moody’s Laurent has worked as Head of Regulatory and Prudential Affairs with Crédit Agricole S.A., since 2012. He was responsible for the monitoring of prudential and regulatory developments and assessing their impact on this large French banking group. Before 2012, Laurent held several banking supervisory positions at Banque de France. His career at the central bank spanned many years in the banking supervisory authority (Autorité de Contrôle Prudentiel et deRegulation), and he was also seconded to international organisations. In this capacity, Laurent worked at the Secretariat of the Basel Committee in Switzerland between 2003 and 2006 where he provided analytical support in the context of the development of the Basel II framework. Between 2009 and 2012, Laurent was also seconded to the Competition Directorate General of the European Commission (DG-Competition) as a member of the Task Force for Financial Crisis Resolution which monitored member states’ state aid for ailing banking institutions.
Laurent holds a postgraduate degree with distinction in International Finance and Economics from Université Paris IX Dauphine and a degree from the Institutd’Etudes Politiques de Paris.
Jérôme Grivet is Deputy Chief Executive Officer of Credit Agricole S.A., in charge of the Steering and Control functions since September 2022.
Jérôme Grivet began his career with the French civil service. He then became advisor on European affairs to Prime Minister Alain Juppé before joining Crédit Lyonnais in 1998 as Head of Finance and Management Control for retail banking in France. In 2001, he was appointed Head of Strategy at Crédit Lyonnais and later held the same post at Crédit Agricole S.A. In 2004, he was Head of Finance, the General Secretariat, and Strategy at Calyon before being appointed Deputy Chief Executive Officer in 2007. In 2010, Jérôme Grivet became Chief Executive Officer of Crédit Agricole Assurances and of Predica. In May 2015, Jérôme Grivet became Deputy General Manager and Chief Financial Officer of Crédit Agricole S.A. In September 2021, he took responsibility for the Steering Division.
Jérôme Grivet is a graduate of ESSEC business school, Sciences Po Paris and Ecole Nationale d’Administration (ENA). He is also a Senior Treasury Auditor.
Guillaume Lucien-Baugas joined Moody’s in September 2007 and is based in Paris in the Financial Institutions Group where he has responsibilities for rating a number of banks in France and the Benelux. Prior to joining the Financial Institutions Group, he was part of the Structured Finance Group at Moody’s, rating CDO and CLO transactions.
He started his career in asset management at Eiger Capital Limited in London, where he was a senior credit analyst in the fixed income markets.
Mr. Lucien-Baugas holds a masters degree in Finance and Management from Dauphine University (Paris IX) and a postgraduate certificate in Finance from ESCP Europe. He is a CFA Charterholder.
Benjamin is a Senior Vice President in the European Insurance team, based in Paris. He has primary analytical responsibility for a number of insurance groups in Europe, covering or having covered insurers and reinsurers in France, the UK, Germany, Italy, Spain, Switzerland, the Benelux or in the CIS countries.
He is also responsible for the analytical team covering insurers operating in the Middle East region.
Prior to joining Moody’s in 2006, Benjamin worked for l’Autorité de Contrôle des Assurances et des Mutuelles (the French insurance supervisory authority) and l’Autorité des Marchés Financiers (the French financial markets supervisory authority). Member of French Actuarial Association. Degrees in Finance and Actuarial Science (ENSAE) and Finance and Economics (Ecole Polytechnique). Fluent in French.
Olivier Panis is a Senior Vice President in the EMEA Financial Institutions Group based in Paris, covering a portfolio of European Global Investment Banks (GIBs) and other banks in France and Benelux.
Olivier joined Moody’s in Dubai in 2013 where he assumed responsibility for a portfolio of financial institutions in the Gulf Cooperation Countries (GCC) and North Africa. Prior to joining Moody’s in 2013, he was heading the Portfolio Management team for Corporate Banking Emerging Markets at Barclays. He started his career as a financial analyst at the French Ministry of Finance in Paris. Olivier Panis holds a MSc in Economics from the Université PARIS I (Sorbonne).
Laurie Chesné brings 14 years of experience in sustainability ( advisory and analysis, with a focus on environmental issues and sustainable finance.
Laurie has been appointed as Head of Green & Sustainable Financing & Advisory for EMEA in Natixis CIB’s Green Sustainable Hub. She acts in an advisory structuring capacity for all green and sustainable financing and advisory solutions provided to Natixis CIB’s clients.
Laurie previously worked for Vigeo Eiris (now Moody’s ESG), where she held the position of Head of Green and Social Bonds and Senior Sustainability Consultant. She was previously a specialized consultant in energy climate and eco design issues.
Laurie is a qualified chemical engineer, specialized in Environmental and Sustainability Management, from the Ecole Supérieure de Chimie Organique et Minérale (ESCOM).
Jean-Marie Alfonsi is Chief of Finance and Overall Performance of the Crédit Mutuel Arkéa Group.
Before joining the Crédit Mutuel Arkéa Group in 2009, he worked at BNP Paribas where he led M&A and strategic repositioning operations in France and Spain. He also managed subsidiaries specialised in contract hire, stock brokerage and online banking in France and abroad.
Jean-Marie Alfonsi is a graduate of Kedge Business School and is a certified Director of Science Po Executive Education/IFA.
Julia Haake, a trained economist with a PhD from Versailles University in France, is Managing Director, Market Strategy at Moody’s ESG Solutions. She has joined Moody’s in December 2021, joining from ISS and formerly oekom research (acquired by ISS in 2018), where she was part of the ESG business unit’s leadership team and, over the last ten years, held various positions in business development, client coverage, stewardship and engagement. Julia has been working in Sustainability, CSR and ESG since 1993, when she started as a researcher, first at the German Wuppertal Institute and then at Versailles University in France, where she completed her PhD thesis in Environmental Economics. She later joined the French consulting firm O2 France as a consultant advising corporates on environmental and sustainability strategy and environmentally friendly product design. From 2003 to 2008 she contributed to building and rolling out the French postal operator Groupe La Poste’s CSR strategy, before joining the global environmental NGO WWF, where her role was to lead the Paris-based team in charge with managing corporate relations, sustainability partnerships and corporate fundraising.
In 2019, Julia has been elected member of the board of the French Sustainable Investment Forum (FIR) and appointed member of the French market regulator’s (Autorité des Marches Financiers) Sustainable Finance Commission. She is also co-author of the book "L'Entreprise Légère", written with Basile Gueorguievsky, published by Delachaux & Niestlé in 2010.
Jérôme Grivet is Deputy Chief Executive Officer of Credit Agricole S.A., in charge of the Steering and Control functions since September 2022.
Jérôme Grivet began his career with the French civil service. He then became advisor on European affairs to Prime Minister Alain Juppé before joining Crédit Lyonnais in 1998 as Head of Finance and Management Control for retail banking in France. In 2001, he was appointed Head of Strategy at Crédit Lyonnais and later held the same post at Crédit Agricole S.A. In 2004, he was Head of Finance, the General Secretariat, and Strategy at Calyon before being appointed Deputy Chief Executive Officer in 2007. In 2010, Jérôme Grivet became Chief Executive Officer of Crédit Agricole Assurances and of Predica. In May 2015, Jérôme Grivet became Deputy General Manager and Chief Financial Officer of Crédit Agricole S.A. In September 2021, he took responsibility for the Steering Division.
Jérôme Grivet is a graduate of ESSEC business school, Sciences Po Paris and Ecole Nationale d’Administration (ENA). He is also a Senior Treasury Auditor.
Laurie Chesné brings 14 years of experience in sustainability ( advisory and analysis, with a focus on environmental issues and sustainable finance.
Laurie has been appointed as Head of Green & Sustainable Financing & Advisory for EMEA in Natixis CIB’s Green Sustainable Hub. She acts in an advisory structuring capacity for all green and sustainable financing and advisory solutions provided to Natixis CIB’s clients.
Laurie previously worked for Vigeo Eiris (now Moody’s ESG), where she held the position of Head of Green and Social Bonds and Senior Sustainability Consultant. She was previously a specialized consultant in energy climate and eco design issues.
Laurie is a qualified chemical engineer, specialized in Environmental and Sustainability Management, from the Ecole Supérieure de Chimie Organique et Minérale (ESCOM).
Olivier Garnier is Director General for Statistics, Economics and International at Banque de France. He is a member of the Eurosystem Monetary Policy Committee.
Before joining Banque de France in 2017, he was the Group Chief Economist of Société Générale and a member of the Group’s General Management Committee. He has also been Deputy-CEO of Société Générale Asset Management.
He started his career at the French Ministry of Finance where he held various positions. In particular, he was the Economic Adviser to the Finance Minister from 1994 to 1997, and to the Treasury’s Director in 1992-1993. He also served as an economist at the US Federal Reserve Board in Washington DC from 1990 to1992.
Olivier Garnier was President of the French Economic Association (Association Française de Science Economique) in 2021-2022, and a member of the Economic Advisory Council to the French Prime Minister from 2002 to 2012.
He is a graduate of Ecole Polytechnique, Ecole Nationale de la Statistique et de l’Administration Economique (E.N.S.A.E.), and the University of Paris-Dauphine.
Jean-Marie Alfonsi is Chief of Finance and Overall Performance of the Crédit Mutuel Arkéa Group.
Before joining the Crédit Mutuel Arkéa Group in 2009, he worked at BNP Paribas where he led M&A and strategic repositioning operations in France and Spain. He also managed subsidiaries specialised in contract hire, stock brokerage and online banking in France and abroad.
Jean-Marie Alfonsi is a graduate of Kedge Business School and is a certified Director of Science Po Executive Education/IFA.
Alain Laurin is an Associate Managing Director in the Financial Institutions group with responsibility for ratings on banks in France, the Benelux, Italy and Iberia.
Prior to joining Moody’s in August 2008, Alain was at Banque of France for 25 years where he held several positions in the International department – including a seven-year secondment to the World Bank – and at the Banking Commission where he was Director of off-site supervision between 2006 and 2008.
Alain holds a Master Degree in Economics (University of Bordeaux) and Sciences Po (Bordeaux).
Julia Haake, a trained economist with a PhD from Versailles University in France, is Managing Director, Market Strategy at Moody’s ESG Solutions. She has joined Moody’s in December 2021, joining from ISS and formerly oekom research (acquired by ISS in 2018), where she was part of the ESG business unit’s leadership team and, over the last ten years, held various positions in business development, client coverage, stewardship and engagement. Julia has been working in Sustainability, CSR and ESG since 1993, when she started as a researcher, first at the German Wuppertal Institute and then at Versailles University in France, where she completed her PhD thesis in Environmental Economics. She later joined the French consulting firm O2 France as a consultant advising corporates on environmental and sustainability strategy and environmentally friendly product design. From 2003 to 2008 she contributed to building and rolling out the French postal operator Groupe La Poste’s CSR strategy, before joining the global environmental NGO WWF, where her role was to lead the Paris-based team in charge with managing corporate relations, sustainability partnerships and corporate fundraising.
In 2019, Julia has been elected member of the board of the French Sustainable Investment Forum (FIR) and appointed member of the French market regulator’s (Autorité des Marches Financiers) Sustainable Finance Commission. She is also co-author of the book "L'Entreprise Légère", written with Basile Gueorguievsky, published by Delachaux & Niestlé in 2010.
Olivier Panis is a Senior Vice President in the EMEA Financial Institutions Group based in Paris, covering a portfolio of European Global Investment Banks (GIBs) and other banks in France and Benelux.
Olivier joined Moody’s in Dubai in 2013 where he assumed responsibility for a portfolio of financial institutions in the Gulf Cooperation Countries (GCC) and North Africa. Prior to joining Moody’s in 2013, he was heading the Portfolio Management team for Corporate Banking Emerging Markets at Barclays. He started his career as a financial analyst at the French Ministry of Finance in Paris. Olivier Panis holds a MSc in Economics from the Université PARIS I (Sorbonne).
Sarah has been the lead analyst for most countries in the European Union, and is also a former lead analyst for the United States. She is currently the lead analyst for France and Italy, among other European countries. She is also one of the Sovereign Risk Group’s global spokespeople.
She joined Moody’s in 2009 after completing a Sloan Fellowship at the London Business School. Prior to this academic sabbatical, she spent seven years at the Financial Services Authority in London where she headed the regulator’s Risk Analysis area and acted as its chief macroeconomist. Before joining the FSA, she worked in Dun & Bradstreet’s Economic Analysis Group for six years, where she was the organisation’s Deputy Chief Economist.
She holds an MA in European Studies (with a concentration in Economics and Finance) from the Elliott School of International Affairs at the George Washington University in Washington, DC and an AB with a double major in Government and History from Dartmouth College in Hanover, New Hampshire in the United States. She is a CFA Charterholder and is co-chair of the Macroeconomic Committee of the CFA Society France. She is a dual citizen of the United Kingdom and the United States and is based in Paris.
Benjamin is a Senior Vice President in the European Insurance team, based in Paris. He has primary analytical responsibility for a number of insurance groups in Europe, covering or having covered insurers and reinsurers in France, the UK, Germany, Italy, Spain, Switzerland, the Benelux or in the CIS countries.
He is also responsible for the analytical team covering insurers operating in the Middle East region.
Prior to joining Moody’s in 2006, Benjamin worked for l’Autorité de Contrôle des Assurances et des Mutuelles (the French insurance supervisory authority) and l’Autorité des Marchés Financiers (the French financial markets supervisory authority). Member of French Actuarial Association. Degrees in Finance and Actuarial Science (ENSAE) and Finance and Economics (Ecole Polytechnique). Fluent in French.
Laurent is Group Credit Officer, responsible for the proper implementation of policies, procedures and methodologies, for financial institutions across EMEA. Prior to his role, Laurent had been lead analyst for financial institutions in France and the Benelux region since February 2015.
Prior to joining Moody’s Laurent has worked as Head of Regulatory and Prudential Affairs with Crédit Agricole S.A., since 2012. He was responsible for the monitoring of prudential and regulatory developments and assessing their impact on this large French banking group. Before 2012, Laurent held several banking supervisory positions at Banque de France. His career at the central bank spanned many years in the banking supervisory authority (Autorité de Contrôle Prudentiel et deRegulation), and he was also seconded to international organisations. In this capacity, Laurent worked at the Secretariat of the Basel Committee in Switzerland between 2003 and 2006 where he provided analytical support in the context of the development of the Basel II framework. Between 2009 and 2012, Laurent was also seconded to the Competition Directorate General of the European Commission (DG-Competition) as a member of the Task Force for Financial Crisis Resolution which monitored member states’ state aid for ailing banking institutions.
Laurent holds a postgraduate degree with distinction in International Finance and Economics from Université Paris IX Dauphine and a degree from the Institutd’Etudes Politiques de Paris.
Guillaume Lucien-Baugas joined Moody’s in September 2007 and is based in Paris in the Financial Institutions Group where he has responsibilities for rating a number of banks in France and the Benelux. Prior to joining the Financial Institutions Group, he was part of the Structured Finance Group at Moody’s, rating CDO and CLO transactions.
He started his career in asset management at Eiger Capital Limited in London, where he was a senior credit analyst in the fixed income markets.
Mr. Lucien-Baugas holds a masters degree in Finance and Management from Dauphine University (Paris IX) and a postgraduate certificate in Finance from ESCP Europe. He is a CFA Charterholder.