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He is a regulatory quant and provides weekly global online trainings in financial risk management. He is co-author of first ever model risk management textbook. He has experience in a spectrum of ...
As monetary institutions rely greatly on economic and financial models for a wide array of applications, model validation has become progressively inventive within the field of risk. The Journal of ...
The Future of Financial Security with Artificial intelligence (AI) is redefining financial security, streamlining fraud ...
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GlobalData on MSNEthos raises $6m to modernise model risk management for financial institutionsEthos CEO and co-founder Jett Oristaglio said: “At Ethos, we're committed to empowering financial institutions to shape the ...
The financial industry is undergoing seismic shifts with the rise of quantum computing, data analytics and financial ...
Automated FX risk management can align with a company’s cash flow needs, reducing inefficiencies and improving long-term ...
The Financial Modeling Mastery Program is designed to teach real-life Financial Models for aspiring and current FP&A and Private Equity Professionals. Broken down in a logical progression from ...
Financial institutions are drowning in data. The volume of financial transactions, trading data and risk models has exploded in the last few years. Yet many firms remain reliant on Excel-based ...
less risk is more. When businesses want to minimize risks to their assets, revenues or business model, they'll often turn to financial risk management advisors. Financial risk management advisors ...
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