Abstract: This review presents and explores the research priorities and evolutionary trends in bankingrelated climate risk research. It identifies four key areas of study illustrating the different perspectives comprising the banking-related climate risk research landscape, including: (i) ESG, green financing and climate risks, (ii) financial intermediation and risk management, (iii) sustainable development and economic transformation and (iv) monetary policy and financial stability. The empirical evidence indicates a rising and relatively recent scholarly engagement with climate-related risks and their consequences for the banking industry, although the literature is still in its formative stage. Overall, the analysis offers a broad overview of the academic terrain, emphasizing both consolidated insights and persisting gaps in knowledge concerning the ways in which climate risks are reshaping banking practices and financial stability.