Lead Analyst with 10+ years of proven expertise in Risk Portfolio Management, specializing in Basel II/III regulatory reporting, CRWA optimisation, compliance oversight, and cross-border project coordination. Recognized for driving automation initiatives, enhancing reporting accuracy, and delivering capital savings through regulatory reforms. Adept at stakeholder engagement, policy development, and mentoring junior analysts. Known for blending technical precision with strategic insight, ensuring timely regulatory submissions and strengthening organizational risk management capabilities.
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