Fretting About FRTB

Fretting About FRTB
You are invited to join us for a conversation about compelling challenges with regard to FRTB.
 
  Date:
June 9, 2022

  Time:
11:00  a.m. EDT
10:00 a.m. CDT
4:00 London time

  Presented By:
Navin Rauniar, Partner, TCS and PRMIA UK Steering Committee
Harry Chopra, Chief Client Officer, Suade
Vincent Baritsch, Head of Regulatory Policy at Sumitomo Mitsui Banking Corporation
Dr Maximilian DyckSenior Paralegal (FS Regulation and GC’s Office), Suade

  Location:
Virtual Event

 

Yes, we have all heard it before, but FRTB will arrive in 2023-24 timeframes across multiple jurisdictions.  FRTB is a binding capital requirement and we are now at the point where we need to ascertain the data quality aspects needed for efficient calculations.  In addition, we also need to develop a perspective on leveraging the standardized approach versus the internal model approach, given the complexity of our trading operations.  Join the discussion with our panelists who will discuss the finer points on how to really “fret” about FRTB in charting a path forward. In addition, we also need to develop a perspective on leveraging the standardized approach, including the new sensitivities, versus the internal model approach, given the complexity of our trading operations. 


Speakers  
       
  Navin Rauniar, Partner, TCS and PRMIA UK Steering Committee
Nav is a Senior Leader & Practitioner with 20 years run the bank, change the bank & Big 4 consulting experience across financial services. He typically connects C-suite stakeholders across business & technology, using domain expertise that focuses on risk management & capital markets, especially in response to prudential markets regulation such as ESG, Climate Risk, Carbon Markets, Sustainable Financing, LIBOR, & Basel Frameworks impacting an institutions' strategy, process & governance.

Internally, Nav leads the business & technology delivery for TCS' clients. His international & offshoring experience assists in building diverse global delivery teams. Externally, he supports the capital markets community via mentoring of risk professionals, thought leadership at conferences and his contribution as a member of the PRMIA Institute & Steering Committee. He is a regular speaker and chair at capital markets & risk management forums, as well as a frequent commentator & author to the press on financial market regulations.
 
 
       
    Harry Chopra, Chief Client Officer, Suade
Harry Chopra is the Chief Client Officer of Suade. He joined the company in 2022 and is based in New York City. Bringing more than 30 years of experience in global sales and financial services, Harry is responsible for overseeing Suade’s global business development efforts, implementing go-to-market strategies, and ensuring client success to move the business forward.

Harry’s background comprises Banking, Investment Management, Financial Market Intelligence, ESG and Regulatory Reporting disciplines.  In addition, over the past 20 years, Harry’s global responsibilities have helped him gain an understanding of Financial Systems present in the global economy.

Harry received his Bachelor of Art in Mathematics, with a minor in Economics, from the University of Delhi, and he holds an MBA from the Ross School of Business at The University of Michigan.  In addition, Harry has been on a path of continuous education.  He obtained the Series 7 and Series 24 certifications during his time at Citigroup Asset Management. 
 
       
    Vincent Baritsch, Head of Regulatory Policy at Sumitomo Mitsui Banking Corporation 
Vincent is Head of EMEA Regulatory Policy for SMBC’s operations in the EU and UK, covering prudential policies SMBC EU AG in Frankfurt, SMBC Bank International in London and SMBC Nikko
Capital Markets Ltd. Vincent has been involved in all EU Basel capital implementations since Basel 1.5, specialising in credit and market risk. A particular interest of his is the economics of regulation and how prudential requirements impact the wider economy via the availability of funding to the non-financial sector.
 
       
    Dr Maximilian DyckSenior Paralegal (FS Regulation and GC’s Office), Suade
Dr Maximilian Dyck is a subject matter expert in financial regulation and paralegal at Suade Labs. He advises the company on financial regulation, including all aspects of Basel III. Max also works on the company's legal matters. He holds a PhD in law on Basel III and asset securitisation from the University of Manchester.

 



  Thank You To Our Sponsor  
     
 

 
     

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Registration

This event is FREE for members and non-members, although registration is required.  Click "Register Myself" below to reserve your spot. Make sure to click "Continue" to proceed with your registration. (If this is your first time accessing the PRMIA website you will need to create a short user profile to register.) Support events like this by becoming a member

 
When
6/9/2022 11:00 AM - 12:00 PM
Where
Sponsored Webinar
 

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