In this episode, Paolo will provide an overview of the key elements of effective ERM in the insurance industry, as well as practical tips and strategies to enable organizations to implement it in their operations.
Learn how to develop an ERM strategy that can help you successfully manage financial risks, including identifying and assessing potential risks, developing risk response strategies, and monitoring and reporting on results.
Paolo Laureti is an experienced financial engineer focusing on risk models for buy-side institutions. Formerly Econophysics researcher with a Ph.D. in theoretical physics.
He is currently working as a product manager in SS&C Technologies. He is specialised in product management and consulting, Monte Carlo methods for financial risk, IFRS 17, Solvency II, ALM, ERM, SAA as well as Ranking and recommendation systems.
If you want to be our guest, or you know some one who would be a great guest on our show, just send your email to email@example.com with a subject line “Global Risk Community Show” and give a brief explanation of what topic you would like to to talk about and we will be in touch with you asap.