Andreas RagglManaging Partner at McKinsey Risk Dynamics
Andreas is a Managing Partner at Risk Dynamics (an entity fully owned by McKinsey). He is in charge of the Asia business of Risk Dynamics. He is a member of the Financial Institutions Group and Global Risk Management Practice at McKinsey. The focus of his consulting work has been trading, treasury, asset management, enterprise risk management and banking overall. He has worked in risk management throughout his career in banking, consulting and trading and risk technology vendor business for the past 22 years. He has been with McKinsey for the past 10 years. He is also an active member of the CFA Institute, CAIA, and GARP.
Andreas has been involved in a leading role during the acquisition of Risk Dynamics by McKinsey in 2016 and since then has specialized in the development and globalization of Risk Dynamics model risk management and validation services. He built the relationships with key clients throughout Asia, being in charge of numerous model risk advisory and independent validation programs. These projects covered all types of financial risks (credit, market, AA models), non-financial risks and regulatory frameworks (Basel II/III/IV, stress testing, ICAAP) for banks, asset managers and insurers in Asia, Europe, Middle East, and Africa. Andreas has deep expertise in risk management, advanced analytics, risk and trading technology. Andreas participates regularly in industry events and conferences and moderates roundtable events hosted by McKinsey on model risk and model validation.