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Alexandru Bucur-Drugan Principal Credit Risk Officer at IFC/ World Bank Group bucurdrugan@yahoo.ca Summary - 10+ years experience in risk management with emphasis on quantitative finance techniques, system implementation, and project management. Areas of risk management expertise includes: credit risk (consumer and wholesale), market risk, business risk, fixed asset risk and operational risk - 5+ years coordinating integrated teams that focused on sophisticated methods of developing and implementing economic capital models, credit portfolio management / performance measurement methodologies and establishing Basel II risk management compliance framework and infrastructure - In-depth understanding of economic and regulatory capital requirements for credit, market, and operational risk - Developed and validated credit risk parameters, PD, LGD, and EAD for wholesale and consumer portfolios - Implemented best practice approach to validation process of the Risk Rating System - Provided "end-to-end" execution of risk analytics projects, including support for resulting implementation/systems projects. Specialties - Portfolio credit risk modeling - Credit risk parameter model development (PD, LGD, EAD) - Internal risk rating (BRR, FRR) - Retail credit risk economic capital models - Model validation & vetting - Business risk - Operational risk - Fixed asset risk - Basel II implementation - Economic capital process development and implementation - Enterprise wide risk management Experience Principal Credit Risk Officer at IFC/ World Bank Group November 2009 - Present (1 year 4 months) Vice President, Credit Risk Analytics at Wachovia, A Wells Fargo Company March 2007 - November 2009 (2 years 9 months) Vice President, Portfolio Research & Strategy at Bank of Montreal August 2005 - March 2007 (1 year 8 months) Manager, Economic Capital at RBC Financial Group October 2001 - August 2005 (3 years 11 months) Analyst, Fixed Income Securities at Ontario Municipal Employees Retirement System (OMERS) February 2000 - October 2001 (1 year 9 months) Education York University MA, Applied Mathematics, 1997 - 1999 Universitatea 'Babes-Bolyai' din Cluj-Napoca PhD ABD, Applied Mathematics, 1991 - 1995 Universitatea 'Babes-Bolyai' din Cluj-Napoca BSc, Mathematics, 1980 - 1985 Interests • Financial Risk Management • Wholesale Credit Risk Measurement • Corporate Finance, Economic Capital • Regulatory Capital (Basel II) • Applied Mathematics & Statistics • Project Management • Model Risk and Validation • Astronomy • International Travel • Soccer


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  • Hi Alexandru, It’s great to have you here! Feel free to invite new people, participate in discussions, activities and share knowledge. If you've got a frog for a picture, hurry up and replace it!
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