Senior Finance and Risk Consultant
About Us
Marsh McLennan's Finance and Risk practice is the largest of our specialized practices within Financial Services.
Our Work
We bring deep expertise and breakthrough impact to the world's leading financial institutions and government agencies. Our recent work has focused on a wide range of topics including:
1. Design of finance and risk governance frameworks and organisational structures
2. Developing credit analytics for banks for loss estimation, stress testing, regulatory modelling, customer targeting and business growth
3. Regulatory compliance and dialogue (e.g. Basel 2/3, EMIR, Dodd-Frank)
4. Liquidity and funding risk management
5. Strategic balance sheet management and asset/liability risk
6. Articulation of Risk Appetite at Board and ExCo level, and embedding RA into the business
7. Cutting-edge loan-level mortgage analytics and forecasting
8. Asset-backed security valuation and advanced risk modelling
9. Design and implementation of conduct risk management frameworks
10. Counterparty credit risk for large derivative traders
11. Strategic cost management and post-merger integration
12. Operational and non-financial risk measurement and management frameworks
13. Assessment and refinement of