Jiří graduated from the Faculty of Mathematics and Physics of Charles University. He has dedicated most of his professional life to risk management in financial institutions. Jiří has extensive experience in designing prediction models and implementing comprehensive risk management solutions and processes (collection, underwriting, antifraud, Basel II). For a number of years, he held a high management position in South-East Asia. He has been with the KPMG Risk Consulting department since 2017, dealing in particular with the regulatory requirements applicable to banks and with IFRS9 impairment issues.
Currently no upcoming training courses scheduled
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