以马内利 Olaosebikan, 金融 Expert in 加拿大安大略省多伦多
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以马内利 Olaosebikan

验证专家  in 金融

Management Consulting Expert

位置
加拿大安大略省多伦多
至今成员总数
2022年5月9日

以马内利 is an MBA graduate with extensive finance and risk consulting experience. While working at two companies of the Big Four with clients across Europe, 北美, 和非洲, he delivered a significant transformation project for a multilateral financial institution with over $100 billion in assets and validated complex financial risk models for top UK and FTSE 100 companies. 以马内利 uses his skills to support his clients on their financial transformation journey.

职业生涯突出

经理
德勤

教育 Highlights

硕士学位
Quantic School of Business and Technology

Certification Highlights

案例研究

工作经验

经理

2022年至今
德勤
  • Led enterprise risk management policy, 框架, 过程, and operating manual reviews and provided recommendations on current practices.
  • Supported large financial institutions with over $100 billion in revenue on their transformation journey to improve capital, 信贷, 流动性, and treasury capabilities in response to regulatory requirements and changing market conditions.
  • Assisted a multinational 北美-based bank in addressing regulatory issues relating to 流动性 risk and stress testing.
Focus areas: 信用风险, Capital, Strategy, Treasury & Liquidity Management, Internal Audits

助理经理

2021年至今
德勤
  • Supported the quarterly and year-end model methodology and implementation review of a commercial banking portfolio for a top 5 bank in the UK.
  • Validated a mortgage affordability model for a leading UK mortgage financial institution with over £18 billion total assets.
  • Supported clients in designing and improving their broader risk management ecosystems, such as practices around insights into movement, data, 控制, model risk management, monitoring and maintenance, 报告, and external disclosure.
Focus areas: 风险建模, 风险管理, 金融建模, Model Validation

商业顾问

2019 - 2021
EY
  • Delivered a key business transformation project on 信贷 risk and capital management workstream for a multilateral trade finance institution with over $20 billion in total assets.
  • Developed an investment risk model for managing asset acquisition and transaction risks, incorporating DCF and country risk modules, for an upstream oil and gas company with a portfolio of assets in four countries spanning the full E&价值链.
  • Designed and validated 信贷 risk management models such as IFRS 9, expected 信贷 loss (PD, 乐金显示器, 和含铅), 和巴塞尔IRB (F-IRB), A-IRB, and CAR) models for leading banks with over £20 billion in assets across the EMEIA region.
  • Developed key risk management and governance 框架s and policies for leading financial services and energy companies, including enterprise risk management (ERM), 董事会章程, and delegation of authority policies.
  • Conducted market research and due diligence analysis for Tier 1 financial institutions and development finance institutions.
  • Designed a budget and bonus allocation tool for an investment banking client with a $1 billion asset.
Focus areas: Financial 风险管理, 信用风险, 投资分析, 金融建模, 尽职调查, 市场研究, 数据分析, ETL, 预测, 收入 & 费用预测
2021 - 2021

硕士学位 in Business Administration (MBA)

Quantic School of Business and Technology - Washington, DC, USA

2013 - 2016

Bachelor's Degree in Food Technology

University of Ibadan - Ibadan, Nigeria

APRIL 2020 - PRESENT

投资银行 and Capital Markets

Ernst and Young (EY)

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