Editorial Board

Journal of Risk Management in Financial Institutions is guided by its expert Editor and an eminent Editorial Board who review every article to ensure it is practical, authoritative and relevant:

Editor

  • Joel Bessis, Professor of Finance, HEC Paris

Editorial Board

  • Dr. Madelyn Antoncic, Senior Fellow, New York University Development Research Institute (DRI) & Director and Founder, Sustainable Economic and Climate Development Initiative, DRI;  Former Vice President and Treasurer, World Bank; Board Member, ACWA Power KSA & S&P Global Ratings
  • Hugo Banziger, Former Chief Risk Officer, Deutsche Bank
  • David Bobker, Director, Real Assurance Risk Management
  • Klaus Böcker, Senior Manager, Risk Advisory, PwC Germany
  • Francis Breedon, Department of Economics and Finance, Queen Mary, University of London
  • Eduardo Canabarro, Former Managing Director, Global Head of Model Risk, Barclays
  • Roger G. Chen, VP, Office of Risk Management, New York Life Insurance Company
  • Zhongyang Chen, Department of Applied Finance, Renmin University of China
  • Dr. Moorad Choudhry, Non-Executive Director, Recognise Bank
  • Joshua Cohn, Managing Principal, JBHS LLC
  • Michael Dempster, Director, Centre for Financial Research, Judge Business School, University of Cambridge
  • Aslihan Denizkurdu, Former Risk Management Chief Operating Officer & Head of Governance, Citigroup
  • Francis X. Diebold, Professor of Economics, Finance and Statistics, Wharton School, University of Pennsylvania
  • Helmut Elsinger, Austrian Central Bank
  • John Fell, Deputy Director General, European Central Bank
  • Joanna Gray, Professor of Financial Regulation, LAW School Newcastle University
  • Allan D. Grody, President, Financial InterGroup
  • Tom Grondin, Chairman of the Board, Transamerica Life Bermuda
  • Simon Hall, Head of Banking Policy Division, Bank of England
  • Gregory P. Hopper, Former Global Head of Enterprise Risk Management, Goldman Sachs
  • John Hull, Director, Centre for Finance and Maple Financial Group Chair in Derivatives and Risk Management, Joseph L. Rotman School of Management, University of Toronto
  • Robert A. Jarrow, Professor of Finance and Economics, Johnson Graduate School of Management, Cornell University
  • David R. Koenig, Chief Executive Officer, The Governance Fund Advisors
  • Christian Kronseder, CEO, ALLINDEX - Investing 2.0
  • Paul Kupiec, Resident Scholar, American Enterprise Institute for Public Policy Research
  • Jovi Law, Managing Director, Head of Risk Management, CMB International 
  • Steve Lindo, Principal, SRL Advisory Services
  • Robert M. Mark, Chief Executive Officer, Black Diamond
  • Edmond Moriarty, Chief Financial Officer and Chief Risk Officer, Rockefeller Capital Management
  • Michael K. Ong, Professor of Finance, Stuart School of Business
  • Christian S. Pedersen, Managing Director, Strategy & Consulting, Accenture Singapore
  • Dan Rosen, Visiting Fellow, Fields Institute for Research
  • Anurag Saksena, Founder and President, Global Risk and Capital Advisors
  • Steven Satchell, Reader in Financial Econometrics, University of Cambridge
  • Til Schuermann, Partner, Oliver Wyman
  • Luis A. Seco, Department of Mathematics, University of Toronto, Director, RiskLab Toronto and President and CEO, Sigma Analysis & Management
  • Gustavo A. Torres, Head of Business Development, Smart Risk Solutions
  • Stan Uryasev, Professor, Stony Brook University
  • Yiming Wang, Professor, Department of Finance, Peking University
  • Sarah Wilson, Senior Lecturer in Law, York Law School, University of York
  • Timothy S. Wilson, Managing Director and Co-Head, Global Risk Management Advisors
  • Thomas C. Wilson, CEO, President and Country Manager, Allianz Ayudhya
  • Richard Wise, Group Chief Risk Officer, HKEX group
  • Max Wong Chan Yue, Executive Director, Head of Risk Model Validation, Singapore Exchange

Book Reviews Editor

  • Krzysztof Jajuga, Professor of Economics and Finance, Wroclaw University of Economics