In this episode of The Third Party Risk Institute Podcast, we sit down with Matthew Moore, Director of Operational Risk at Barclays Bank in New York, to explore the complexities of third-party risk management beyond traditional vendor oversight. With more than two decades of global experience in operational risk across investment banking and capital markets, Matthew offers a rare insider’s view on managing systemic dependencies, non-vendor third parties, and regulatory expectations. Drawing o...
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In this episode of The Third Party Risk Institute Podcast, we sit down with Matthew Moore, Director of Operational Risk at Barclays Bank in New York, to explore the complexities of third-party risk management beyond traditional vendor oversight. With more than two decades of global experience in operational risk across investment banking and capital markets, Matthew offers a rare insider’s view on managing systemic dependencies, non-vendor third parties, and regulatory expectations. Drawing o...
Contracts, Risk, and Third-Party Management – De-Risking Agreements for Resilience and Compliance
The Third Party Risk Institute Podcast
44 minutes
1 month ago
Contracts, Risk, and Third-Party Management – De-Risking Agreements for Resilience and Compliance
Contracts are often seen as the backbone of third-party relationships, but are they really protecting your organization from risk? In this episode, Linda Tuck Chapman sits down with Lawrence Kane and Jeanette Nyden to explore how contractual terms, governance, and negotiation strategies shape third-party risk management in practice. You’ll walk away with practical guidance on: • Understanding why risk cannot be fully “transferred” and what controls actually work • Embedding busine...
The Third Party Risk Institute Podcast
In this episode of The Third Party Risk Institute Podcast, we sit down with Matthew Moore, Director of Operational Risk at Barclays Bank in New York, to explore the complexities of third-party risk management beyond traditional vendor oversight. With more than two decades of global experience in operational risk across investment banking and capital markets, Matthew offers a rare insider’s view on managing systemic dependencies, non-vendor third parties, and regulatory expectations. Drawing o...