"Election Risk: Implications of the U.S. Presidential Election"

 

Webinar

 

Date: Friday, October 30th 2020

Time: 12:00 PM – 1:00 PM ET

 

Please join us 4 days prior to the U.S. presidential election, for a session addressing the implications, and potential risks of the election outcome. This lunch time discussion will address topics including:

 

  • Tax policy differences between the candidates, and implications for Financial Institutions

 

  • Economic outlook, stimulus, and market implications

 

  • Potential changes in the regulatory environment under a Biden or Trump administration
 

Panelists Include:

 

Beth Ann Bovino, Managing Director, U.S. Chief Economist, S&P Global Ratings

Beth Ann Bovino is the U.S. Chief Economist and Managing Director at S&P Global Ratings, based in New York. In this position, she develops S&P’s U.S. economic forecasts and authors the quarterly U.S. Economic Forecast, the biweekly Financial Notes and the Business Cycle Barometer. Beth Ann has written timely research reports on long- term economic trends and has created industry drivers for analyst research. She is quoted regularly in the press and has appeared on many major television programs. Further, she has written various articles for popular and professional publications.
 
Before joining Standard & Poor’s in February 2004, Beth Ann spent over ten years doing economic and market research with SunGard Institutional Brokerage, UBS Warburg, and the Federal Reserve.
 
The Wall Street Journal recognized Beth Ann as the most accurate forecaster of the U.S. economy in 2013, and the second most accurate forecaster of the U.S. economy in 2018.
 
The YWCA honored Beth Ann for her work on women in the workforce, inducting her into their YW Academy of Women Leaders Salute Luncheon in 2018.
 
Beth Ann holds a bachelor’s degree in Economics from the Wharton School at the University of Pennsylvania, a master's degree in International and Development Economics from Yale University and a Ph.D. in Economics from Columbia University.
 
 
Roberto Rodriguez, Director, PwC Financial Services Advisory
Roberto is a Director at PricewaterhouseCoopers (PwC), where he leads the firm’s regulatory strategy group, including overseeing the firm’s thought leadership efforts. In this role, he closely follows the vastly changing U.S. and global financial services regulatory landscape. Roberto also advises many of the largest global financial services companies on matters ranging from business and operational strategy to risk and regulatory compliance.

 

Prior to working at PwC, Roberto was an Obama Administration political appointee at the U.S. Treasury Department. He began as a Special Assistant in the Office of Legislative Affairs, where he worked closely with relevant Senate and House committees of jurisdiction on multiple aspects of the Dodd-Frank Act. Roberto later transitioned to the Office of Domestic Finance, where he helped launch the State Small Business Credit Initiative, a product of 2010 Small Business Jobs Act.

 

Before the Obama Administration, Roberto worked on Capitol Hill in both the Senate and House. He began his career as a press aide to former Senator Barbara Boxer (D-CA) and later served as a legislative assistant to Congresswoman Linda Sanchez (D-CA).

 

Roberto earned his MPP from the Harvard Kennedy School of Government, and his Bachelor of Arts from the University of California – Los Angeles.

 

 
 
Moderator:
 

Dietmar Serbee, Partner, PwC

Mr. Dietmar Serbee leads PwC's Risk & Regulatory practice. He advises global financial institutions in adapting their governance, risk management, and compliance capabilities in anticipation of regulatory requirements or market changes. Dietmar's recent work has focused on improving the operating model for risk and compliance management across banks, including the design of Risk and Compliance functions and the application of Heightened Standards and Enhanced Prudential Standards. He advises banks on how to improve the effectiveness of risk governance at the Board and management committee levels, and he works with CROs on risk culture, capital stress testing, material risk identification processes, and the management of business practices risk.

 

Mr. Serbee is a Board member of the RMA's New York Chapter. He holds a Bachelor in International Management from Edhec Business School in Lille, France, and an MBA from the University of Chicago Booth School of Business. He lives in New York.

Dietmar Serbee, Partner, PwC

Mr. Dietmar Serbee leads PwC's Risk & Regulatory practice. He advises global financial institutions in adapting their governance, risk management, and compliance capabilities in anticipation of regulatory requirements or market changes. Dietmar's recent work has focused on improving the operating model for risk and compliance management across banks, including the design of Risk and Compliance functions and the application of Heightened Standards and Enhanced Prudential Standards. He advises banks on how to improve the effectiveness of risk governance at the Board and management committee levels, and he works with CROs on risk culture, capital stress testing, material risk identification processes, and the management of business practices risk.

 

Mr. Serbee is a Board member of the RMA's New York Chapter. He holds a Bachelor in International Management from Edhec Business School in Lille, France, and an MBA from the University of Chicago Booth School of Business. He lives in New YorkBrian S. Strauss is an Executive Director and Senior Credit Officer at Natixis North America LLC, where he and his team have responsibility for managing the firm’s credit risk to Financial Institutions and Structured Credit counterparties. Brian also serves as Chairman of the Risk Management Association - New York Chapter (RMA NY) and he is a former Chairman of the Capital Markets Credit Analysts Society (CMCAS). Before joining Natixis, Brian worked for several years as a consultant at PricewaterhouseCoopers and then eDelta Consulting, advising financial institutions on risk management, regulatory and compliance-related matters.
 
Prior to joining PwC, Brian served as Managing Director and Chief Risk Officer of KCG Americas LLC, as well as Deputy CRO of KCG Holdings, Inc. Brian previously served as CRO of Knight Capital Group, a predecessor firm, where he had global responsibility for credit, market and operational risk management. Before being promoted to this newly-created role in September, 2012, Brian had served as Chief Credit Officer of the firm.
 
Brian was previously a Managing Director and Senior Credit Officer at UBS Americas Inc., where he served as Co-Head of Hedge Fund Credit in the Americas. While at UBS, Brian was the primary risk liaison to the domestic and international equities businesses and the exchange-traded derivatives businesses globally. Prior to joining UBS, Brian was employed by Bank One N.A. as a Managing Director and Capital Markets Credit Officer, where his responsibilities included managing the bank's exposure to hedge funds, securities firms and money managers, and overseeing the ISDA documentation group.
 
Brian received a B.Sc. in finance from Georgetown University and an M.B.A. in finance from the Leonard N. Stern School of Business at New York University.
 

Dietmar Serbee, Partner, PwC

Mr. Dietmar Serbee leads PwC's Risk & Regulatory practice. He advises global financial institutions in adapting their governance, risk management, and compliance capabilities in anticipation of regulatory requirements or market changes. Dietmar's recent work has focused on improving the operating model for risk and compliance management across banks, including the design of Risk and Compliance functions and the application of Heightened Standards and Enhanced Prudential Standards. He advises banks on how to improve the effectiveness of risk governance at the Board and management committee levels, and he works with CROs on risk culture, capital stress testing, material risk identification processes, and the management of business practices risk.

 

Mr. Serbee is a Board member of the RMA's New York Chapter. He holds a Bachelor in International Management from Edhec Business School in Lille, France, and an MBA from the University of Chicago Booth School of Business. He lives in New Yor
 
 
Thank you to PwC, CEIS Review and S&P Global Ratings for being the sponsors of this program. 
 
 
 
 
**Registration can be done online by clicking here. If you prefer, you may submit your registration via fax (914-332-1541) with the following information: 

 

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