Gaurav GangulyHead, Group Risk Economics at HSBC
Gaurav is the Head of Group Risk Economics at HSBC. He manages economic forecasting and scenario analysis needed to run stress tests, calculate loan impairments and to set HSBC’s business plan. Gaurav has worked in a variety of roles in risk in insurance and banking, including sovereign risk, credit risk modelling and economic analysis. Gaurav joined HSBC in 2014 prior to which he was at Barclays where he managed a research and analytics group in Portfolio Risk. In addition to his role at HSBC, he is currently a Research Fellow in Green Finance at the Grantham Institute for Climate Change at Imperial College, in London.
He has a PhD in Economics from Oxford University.