1. BENCHMARK REFORM
2. FIXED INTEREST RATE LOANS
3. CHALLENGES OF THE NEW RECOMMENDATION R
4. CLIMATE RISK
5. FUND TRANSFER PRICING SYSTEM MANAGEMENT
6. NEW MREL REGULATORY REQUIREMENT
7. IMPACT OF COVID-19 PANDEMIC ON FINANCIAL MARKETS AND ALM AND RISK MANAGEMENT
8. THE FRANK CRISIS AND POSSIBLE AFTERMATH

9. BALANCE OPTIMIZATION IN A ZERO/NEGATIVE INTEREST RATES ENVIRONMENT
10. NEGATIVE INTEREST RATE AND THEIR IMPACT ON THE BANK MANAGEMENT
11. HEDGE ACCOUNTING
12. IRRBB AND RECOMMENDATION G – CHALLENGES FOR THE POLISH BANKING SECTOR
13. METHODS OF ACQUIRING CAPITAL – SECURITIZATION
14. THE PROBLEM OF INFLATION INCREASE
15. MACHINE LEARNING & ALM
16. ENVIROMENTAL, SOCIAL AND CORPORATE GOVERNANCE (ESG). THE CONCEPT OF SUSTAINABLE DEVELOPMENT AND ALM