Ilya Khaykin

Ilya Khaykin

Partner, Head of FS Climate Risk and Sustainable Finance Americas

Role
Partner at Oliver Wyman
Location
New York, NY, US
LinkedIn followers
500 followers

About Ilya Khaykin

Ilya is a Partner in Oliver Wyman\'s Financial Services practice, based in New York. Ilya advises major financial institutions on risk and financial management topics including stress testing, capital management, resolution planning, credit risk, liquidity risk, interest rate risk, political risk, and climate related risks. He has spoken at a range of industry conferences and authored multiple publications on climate risk, political risk, stress testing, and risk identification. Examples of industry work • Climate risk: Ilya has most recently been leading Oliver Wyman’s work to develop an approach for banks to measure and disclose their climate related transition risks and opportunities, alongside the United Nations Environment Programme – Finance Initiative (UNEP FI) and Working Group of 16 leading banks. • Resolution Planning: For a US G-SIB, leading a program to comprehensively address Dodd-Frank resolution planning requirements and supervisory guidance. Overseeing all of financial preparedness elements including the development of new financial modelling capabilities for capital and liquidity, assessment of resource adequacy and positioning and development of formal submission materials• Pricing and Performance Management: Developed models for pricing of risk products and performance measurement using risk tools such as economic capital• CCAR, Stress Testing and Capital Management: For one of the largest North American financial institutions, led a program of engagements to enhance stress testing and capital management at the organization. Topics include, among others, business profitability stress model development, credit stress modelling, capital policy and capital targets, stress testing process and policy, scenario and risk identification process design• Public Sector: Advised multilateral institutions as well as national regulators on risk management issues and regulatory frameworks

Experience

  1. Partner

    Oliver Wyman

    Jan 2006 — Present

Education

  • Columbia University

    BS, Physics

  • Sciences Po

    Master, International Relations

  • The London School of Economics and Political Science (LSE)

    Master, Politics of the World Economy

    2005 — 2006

Skills

  • Business Strategy
  • Economics
  • Corporate Development
  • Consulting
  • Emerging Markets
  • Risk Management
  • Corporate Finance
  • Valuation
  • Strategy
  • Financial Modeling
  • Management Consulting
  • Private Equity
  • Financial Risk
  • Credit Risk

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