Nick P.
Faculty Lecturer @The Certificate Of Bank Treasury Risk Management Btrm
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WORK HISTORY
Faculty Lecturer @The Certificate Of Bank Treasury Risk Management Btrm
London, GB
EDUCATION
Cardiff University / Prifysgol Caerdydd
MSc, International Economics, Banking & Finance
ACCA
Association of Chartered Certified Accountants - FCCA
ABOUT NICK P.
Nick Palamaras is a senior financial services professional, with extensive experience in treasury, risk and prudential regulation. He has held senior roles at MUFG, PwC and EY and most recently he joined the faculty of the Banking Treasury Risk Management (BTRM) program as a faculty lecturer.His experience has focused on market risk, interest rate risk, counterparty credit risk, liquidity risk and capital management where he has led projects in the assessment as well as in the design and transformation projects to support the implementation of system infrastructure, control frameworks and operating models.Previous projects include:* Led ICAAP and ILAAP reviews and drafting the documents* Led a review on LCR, ALMM, PRA110 and on counterparty credit risk in response to a skilled person review* Capital management and IRRBB policies and framework definition* Treasury (including IRRBB and market risk) lead of various Internal Audit projects* Finance & Treasury TOM and requirements definition for a system implementation project as a Finance and Treasury workstream lead * CCR (CVA/EAD, capital management) transformation project* CCAR transformation project for stressed collateral and requirements definition of SFTs* Development of an FTP (funds transfer pricing) reporting mechanism to ensure that funding and liquidity costs and benefits are transparently allocated to the appropriate business lines and products for a global bank* CRDIV Counterparty Credit Risk rule interpretation and identification of non-compliant areas for a large investment bank* Assessing rates cash, rates derivatives (counterpart credit & market risk) & Treasury operating models and requirements definition for a large investment bank* Development of Treasury and market risk management policies for a large European bank* Led the assessment of a major’s Greek bank loan book and stress testing for its capital requirement needs
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