Risk management is at the heart of banks’ financial intermediation process and has assumed utmost importance at a time when complexity and volatility in financial markets have become both differentiating …
Author
Anouar Hassoune

Anouar Hassoune
Anouar has over 20 years of experience in the FIG sector internationally, particularly in the Middle East (BDO Luxembourg, Bank of Tokyo, Moody's, S&P). He is currently the Managing Director of Emerging Markets Ratings Limited. Anouar teaches Finance at several renowned French schools (HEC, Dauphine, Sciences Po, ENA, EM Strasbourg). He is a graduate of the University of Panthéon-Sorbonne, the Paris Institute of Political Studies, HEC Paris, and the Ecole Normale Supérieure.