Tuesday, January 30, 2018
Breakfast and Networking: 7:30am-8:00am
Panel Discussion: 8:00am-9:30am
Scotiabank, 44 King Street West, 4th Floor – Schooner Room
Cost:$20 + HST per person (RMA Members)
$25 + HST per person (non-RMA Members)
We welcome you to join us for this speaker series event. This 90-minute breakfast panel will provide an overview of the Fundamental Review of the Trading Book Rules (FRTB), which is a topic that is receiving an increasing amount of interest across the financial industry globally. Our panelists will introduce the regulatory expectations, necessary changes required by all Canadian Banks, and discuss the potential timelines of implementations as shared by OSFI and other global regulators to date.
This is also a great opportunity for you to meet other professionals within the financial industry, specifically Market Risk and Capital Markets.
Attendees are requested to submit any questions to the panel, and complete our short, anonymous, pre-event survey by January 23 here: Q&A link: https://www.surveymonkey.com/r/2MQ5R7S.
The panelists for this event are:
Robert Cranmer, Risk Advisory Director, Deloitte LLP
Robert Cranmer is a Director in Deloitte’s Risk Advisory practice in Toronto. Robert leads Deloitte’s Capital Markets and Risk Data Aggregation & Technology offerings in Canada. He has 20 years international experience in a variety of C-Suite roles in global Capital Markets organizations across a variety of functions. Robert holds a Bachelor of Accounting and Auditing from the University of the Witwatersrand, Johannesburg, South Africa and a Chartered Accountant designation from the South African Institute of Chartered Accountants.
Ivan Bandic, Managing Director, RBC Global Markets
Ivan Bandic is a Managing Director within the Global Markets Financial Resource Management Group at RBC Capital Markets. Ivan is responsible for the optimization and mitigation of RBC Global Markets economic resources focusing on Capital, Balance Sheet, and Funding & Collateral management. Ivan holds a Master’s degree in Financial Mathematics from the University of British Columbia and is a Chartered Financial Analyst.
Voytek Skoczylas, Head of Model, Market and Capital Audit, TD Bank Group
Voytek Skoczylas is the Head of Model, Market and Capital Audit within TD Bank Group. In this role, he is responsible for leading a group of quantitative professionals in planning and executing model related audits across all major risk areas enterprise-wide. Additionally, Voytek manages audit components of comprehensive regulatory submissions. Voytek graduated with a Master of Science degree in Mathematics from Queen’s University in Canada and holds the Financial Risk Manager (FRM) and Chartered Alternative Investment Analyst (CAIA) designations.
Hany Farag, Head of Risk Methodology and Analytics, CIBC
Hany Farag is a Senior Director and Head of Risk Methodology and Analytics at CIBC. Prior to his current position he was a partner at Eastmoor Capital Partners, LLP; Managing Director and Head of FX Statistical Arbitrage at CIBC; and Head of Quantitative Research at OANDA Corporation. Prior to his industry positions he was a Postdoctoral Fellow at Caltech and at Rice University. He holds a PhD in Mathematical Analysis from Yale, a MS in Theoretical Physics from Yale, and a BSC in Electrical and Communication Engineering from Ain Shams.
Venue and breakfast generously provided by Scotiabank