Erik is a hands-on risk manager with a drive for quality and operational excellence. Over the past 25 years, he advised leading Financial Institutions on Asset and Liability Management, Market- and Model Risk. He is committed to deliver pragmatic and creative solutions in governance, modelling and validation. Erik is the global responsible for Zanders’ Bank Treasury and Transformation practice. He focuses on optimizing Bank Balance Sheets by combining business and risk perspectives, hedge accounting and regulatory views. His specialties include interest rate risk, liquidity and funding, behavioural modelling and model risk. He is member of the GARP NL Chapter Board.
All Sessions by Erik Vijlbrief
DEPOSIT MODELLING: FROM RISK-MINDED TO STRATEGIC DECISION-MAKING
How AI can help gathering behavioural insights to improve deposit management
- Uncovering the impact of evolving deposit market dynamics and shifting customer priorities on retail banks
- Leveraging deeper insights into client behavior to craft more strategic deposit approaches.
- Harnessing the power of AI to extract valuable insights from portfolio data.
- Integrating these insights seamlessly into NMD risk models for robust interest rate risk management