June 19, 2025
In this interactive in-person workshop, you will will deepen your 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.
You 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.
By joining the workshop you will gain access to real-world case studies, interactive discussions and valuable peer insights.
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
Sessions:
- Setting the context: sustainability by ESG, climate risk and net zero
- Incorporating the science of sustainability into climate transition plans
- Understanding how carbon calculations and carbon markets support sustainability
- Sustainable financing and the future
- Challenges of sustainability: data, policy and geopolitics
- Case study group exercise
Tutor:
- Navin Rauniar, Sustainability adviser, PRIMA
Navin is a senior banking and sustainability expert with 20+ years of experience across banking, corporates and Big Four firms. Navin advises boards and CxOs on ESG, climate risk, sustainable finance and capital management. A global leader, Navin has shaped public policy, led sustainability initiatives at TCS and co-chairs PRMIA’s ESG Working Group.