Nick Aspiotis
Director, Model Risk Management @Deutsche Bank
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WORK HISTORY
Director, Model Risk Management @Deutsche Bank
Day-to-day, I oversee an effective model validation function that promotes and practices high standards of model risk validation and controls in capital and stress testing models used in the Trading book. • Build and maintain high level of partnership with model developers, STRATS and market risk managers to deliver outcomes consistent with industry-leading practices. • Develop validation standards aligned with global regulatory standards pertaining to Model Risk Management (SR 11-7, SR 15 18/19) that promote an effective risk-based approach to organization models. • Present Model Risk-related topics to key internal and external stakeholders including legal entity senior management, regulators (Federal Reserve Bank, ECB), auditors and other oversight bodies.
EDUCATION
University of Ioannina, Greece
BSc, Mathematics
Cardiff Business School
MSc, Banking and Finance
SKILLS
ABOUT NICK ASPIOTIS
Proven risk management experience in overseeing Traded Risk model development and…
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