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jobs
Michael Pescow
,
London, United Kingdom
Experience
Other titles
Skills
I'm offering
Markets
United Kingdom
Language
English
Fluently
My experience
2013 - 2017
job
Senior Manager, Head of New Product Capital Analysis
Lloyds Banking Group.
Manager
2004 - 2011
job
Regulatory Policy Manager and Implementation Analyst, Capital Policy Specialist
HSBC Investment Bank.
Key achievements:
➢ Wrote, revised and globally advised on Global HSBC Capital Policies which were used to guide HSBC capital procedures at global sites (e.g., CRD Policy (capital rulebook at HSBC), GENPRU Capital Reduction Policy, Out of Scope /Specific Risk Policy).
➢ Chaired Finance Due Diligence meetings and was the Capital Representative in new Business meetings.
➢ Tutored and directed Regulatory Reporting Analysts and Regulatory Controllers in vital specialist Regulatory Capital areas such as ICAAP and complex trade capital assessment.
➢ Led and Supervised New Product Capital and Capital Policy areas
➢ FSA-HSBC capital liaison
Key responsibilities:
➢ Coordinator of FSA-HSBC Quarterly Regulatory Reporting and worked with HSBC Business Control areas in producing quarterly report
➢ Active participant in periodic discussions and consultations with the FSA and Global Regulators on Capital Issues.
➢ Developed and updated FSA-HSBC Model Scopes and met with FSA regarding critical Capital, Model and Product
➢ Global Implementation and oversight of Basel Regulatory Policy Changes. Issues.
➢ Advised Global Business on changes, answered questions globally and gave management and business presentations on changes to BIPRU structure.
➢ Trade-Specific Regulatory Advising /Regulatory Reporting, Basel III and CRD advising Capital policies and library which has been reviewed by and discussed with FSA and auditors.
➢ Active participant on majority of HSBC Capital TAP and Due Diligence
➢ Discussed complex trades and capital treatments with Business since and wrote HSBC capital treatment
➢ Created a large bank of Capital Treatments, which are used daily by management office, Market Risk, Capital, Auditors, and Business.
➢ Devised and oversaw daily GENPRU Global CRM reporting process whilst supervising Hyderabad reporting staff.
➢ Advised HSBC Globally on daily CRM reporting, ensuring reports were published and circulated daily on a Global Basis and used for capital determination at all sites.
➢ Devised Daily Regulatory Trade Approval Process and approved on trades throughout the day with Hyderabad.
➢ Wrote, revised and globally advised on Global HSBC Capital Policies which were used to guide HSBC capital procedures at global sites (e.g., CRD Policy (capital rulebook at HSBC), GENPRU Capital Reduction Policy, Out of Scope /Specific Risk Policy).
➢ Chaired Finance Due Diligence meetings and was the Capital Representative in new Business meetings.
➢ Tutored and directed Regulatory Reporting Analysts and Regulatory Controllers in vital specialist Regulatory Capital areas such as ICAAP and complex trade capital assessment.
➢ Led and Supervised New Product Capital and Capital Policy areas
➢ FSA-HSBC capital liaison
Key responsibilities:
➢ Coordinator of FSA-HSBC Quarterly Regulatory Reporting and worked with HSBC Business Control areas in producing quarterly report
➢ Active participant in periodic discussions and consultations with the FSA and Global Regulators on Capital Issues.
➢ Developed and updated FSA-HSBC Model Scopes and met with FSA regarding critical Capital, Model and Product
➢ Global Implementation and oversight of Basel Regulatory Policy Changes. Issues.
➢ Advised Global Business on changes, answered questions globally and gave management and business presentations on changes to BIPRU structure.
➢ Trade-Specific Regulatory Advising /Regulatory Reporting, Basel III and CRD advising Capital policies and library which has been reviewed by and discussed with FSA and auditors.
➢ Active participant on majority of HSBC Capital TAP and Due Diligence
➢ Discussed complex trades and capital treatments with Business since and wrote HSBC capital treatment
➢ Created a large bank of Capital Treatments, which are used daily by management office, Market Risk, Capital, Auditors, and Business.
➢ Devised and oversaw daily GENPRU Global CRM reporting process whilst supervising Hyderabad reporting staff.
➢ Advised HSBC Globally on daily CRM reporting, ensuring reports were published and circulated daily on a Global Basis and used for capital determination at all sites.
➢ Devised Daily Regulatory Trade Approval Process and approved on trades throughout the day with Hyderabad.
CRM, Due Diligence, Management, Finance, Implementation, Assessment, Analyst, Regulatory, Coordinator, Office, Market Risk, Guide, LED, Manager
2002 - 2003
job
Senior Manager, Valuation/Forensic Accounting
RSM Robson Rhodes.
Key responsibilities:
➢ Represented clients, constructed valuation analyses for high-profile Forensic Valuation Cases: e.g., High Technology Product Valuation, Investment Banking Valuation Disputes, Bankruptcy of Foreign Companies
➢ Developed Quantitative Practice, Valuation Offerings, developed and marketed firm-wide Basel II Practice based on my FSA work
➢ Represented clients, constructed valuation analyses for high-profile Forensic Valuation Cases: e.g., High Technology Product Valuation, Investment Banking Valuation Disputes, Bankruptcy of Foreign Companies
➢ Developed Quantitative Practice, Valuation Offerings, developed and marketed firm-wide Basel II Practice based on my FSA work
Technology, Banking, Manager
2000 - 2001
job
Director of Fixed Income Derivatives Valuation Product Control
UBS Warburg.
Key responsibilities:
➢ Co-managed the FID Product Control Area
➢ Valuation/Technical Resource to P&L staff, monitored valuation issues, and represented P&L staff in discussions with traders
➢ Constructed skew testing tools for Caps and Swaptions using traders' models/Totem and oversaw monthly testing. Qualified for inclusion in Euro monthly service and extended tool to GBP.
➢ Co-managed the FID Product Control Area
➢ Valuation/Technical Resource to P&L staff, monitored valuation issues, and represented P&L staff in discussions with traders
➢ Constructed skew testing tools for Caps and Swaptions using traders' models/Totem and oversaw monthly testing. Qualified for inclusion in Euro monthly service and extended tool to GBP.
Service, Testing
1999 - 2000
job
Associate, Traded Risk Department
Financial Services Authority.
Key responsibilities:
➢ Supervised Large North American Complex Groups
➢ Developed FSA Policy on Credit Risk and Specific Risk (Basel II)
➢ Performed Market Risk Model, Credit Risk, Credit Derivative Visits at Supervised Institutions
➢ Supervised Large North American Complex Groups
➢ Developed FSA Policy on Credit Risk and Specific Risk (Basel II)
➢ Performed Market Risk Model, Credit Risk, Credit Derivative Visits at Supervised Institutions
Market Risk
1998 - 1999
job
Senior Manager in Treasury and Capital Markets Consulting
Deloitte and Touche.
Key responsibilities:
➢ US Federal Reserve: Developed Portfolio Management-based analysis used in World Court defence against Iran.
➢ Morgan Stanley, Merrill Lynch: Supervised and conducted OTC derivative structured valuation Audits. Devised valuation methodologies.
➢ Northern Rock Bank: Analysed performance of bond investment portfolio.
➢ US Federal Reserve: Developed Portfolio Management-based analysis used in World Court defence against Iran.
➢ Morgan Stanley, Merrill Lynch: Supervised and conducted OTC derivative structured valuation Audits. Devised valuation methodologies.
➢ Northern Rock Bank: Analysed performance of bond investment portfolio.
Management, Consulting, Treasury, Manager
1996 - 1998
job
MBA Lecturer in Finance
Cranfield University.
Finance
1995 - 1995
freelance
Consultant in Capital Markets
Management Development Associates.
1990 - 1994
job
Assistant Finance Professor
St. Joseph's University.
Finance
My education
?
-
1992
University of Texas at Austin
Doctorate, Investments, Statistics and Economics
Doctorate, Investments, Statistics and Economics
?
-
1983
University of Penn - Wharton School of Business
BSc, Finance
BSc, Finance
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