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Предложение от Financial Technology Transfer Agency по организации факультативных семинаров в рамках дисциплины «Управление финансовыми рисками в коммерческом банке» магистерской программы НИУ ВШЭ по направлению «Финансы». Резюме предложения. Программа семинара Basel II/III.

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Предложение от

Financial Technology Transfer Agency

по организации факультативных семинаров

в рамках дисциплины «Управление финансовыми рисками в коммерческом банке»

магистерской программы НИУ ВШЭ по направлению «Финансы»

ruben olieslagers
Преподаватель: Ruben Olieslagers

PROFESSIONAL EXPERIENCE

CORPORATE INVESTMENT BANKING (CIB BNPP): March 2008 – Today

October 2012 – Today: Head of Capital & Business Management, CIB Methodology & Fin. Control

  • Migration of Gulf Countries & CBE Light Branches to IRB-Approach
  • Financial control and process improvement of the capital chain
  • “Basel III Client Consultancy Tool” (Innovation Award BNP Paribas Fortis 2013)
  • Assessing the impact of new regulatory developments
  • Different training and communication projects related to regulatory changes

March 2008 – 2012: Capital & Business Manager – CIB Resource and Portfolio Management

Integration projects, capital monitoring, portfolio management, process management, Basel capital developments, operational permanent control, compliance.

GROUP RISK MANAGEMENT (FORTIS): July 2001 – February 2008

March 2007 – Feb. 2008: Basel II Communication – Program Manager: towards local CRO’s and other stakeholders (Press, Investor Relations, Rating Agencies, Comité van Beheer, large clients).

September 2006 – February 2007: Group Credit Portfolio Management - Global Program Manager

January 2005 – September 2006: GRM - Chief of staff

July 2001 – Dec. 2004: Head of Group Capital Modelling, Research and Model Validation

  • Responsible for internal validation of risk models
  • Solvency II – closely involved in discussions with European Commission & CRO Forum
  • Implementation of Group Risk Capital framework & Group Solvency

EDUCATION

MBA – FSI Financial Services and Insurance (Sept. 2004 - June 2006)

Master in Finance – ULB Solvay Business School (1992-1994)

Master of Science in Engineering - Leuven (1986-1992)

sergio scandizzo
Преподаватель: Sergio Scandizzo

PROFESSIONAL EXPERIENCE

EUROPEAN INVESTMENT BANK

2001 – Today: Deputy head of Division

PRICEWATERHOUSECOOPERS

1999-2001: Principal Consultant

CANADIAN IMPERIAL BANK OF COMMERCE

1997 – 1999: Senior manager

EDUCATION

Master of Business Administration - Indiana University – Kelley School of Business (1995 – 1997)

Membership of Professional Bodies: GARP. PRIM

PUBLICATIONS / COURSES

2008, “An Operational Disaster”, Operational Risk & Compliance, June 2008, Volume 9, Issue 6.

2008, “Rethinking (Operational) Risk Management”, OpRisk & Compliance, July 2008, Volume 9, Issue 7.

2008, “Validation & Use Test in AMA: A Roadmap to Successful Implementation”, RISK Books, London

2007, “The Operational Risk Manager’s Guide: Tools and Techniques of the Trade”, RISK Books, London

editor), Risk Books, London.

2006, “Scenario Analysis in Operational Risk Management”, in “The Advanced Measurement Approach to Operational Risk” (Davis E. editor), Risk Books, London.

2005, “Risk Mapping and Key Risk Indicators in Operational Risk Management”, Economic Notes, vol.34, N. 2-2005, pp.231-256.

2003, “Connectivity and the Measurement of Operational Risk: An Input-output Approach”, Soft Computing, Volume 7, N. 8, pp. 516-525.

2003, “Mark up the scorecard”, Operational Risk, December 2003, Vol. 4, Issue 12 (co-author).