EMEA Principal Risk Management Advisor
Peter Plochan is the EMEA Principal Risk Management Advisor at SAS who helps financial institutions to deal with their challenges around finance and risk regulations, enterprise risk management, risk governance, forward looking risk analysis, stress testing, model risk management, risk modelling and climate change risk management.
Peter has a finance background (Master’s degree in Banking) and is certified Financial Risk Manager (FRM) with 14 years of experience in risk management in financial sector. He has assisted various banking and insurance institutions with large-scale risk management implementations while working both internally and also externally as a risk management advisor (PwC). Since joining SAS in 2014, Peter serves as a global acting domain expert - leveraging the latest trends in risk analytics & technology with his deep risk management & finance expertise.
Peter also acts as the Risk Management trainer for PRMIA (Professional Risk Management International Association) where he developed and delivers training on Model Risk Management and ERM & Stress Testing for the global risk community. Peter regularly speaks & presents at risk events/webinar and publishes risk management thought leadership materials.
Greening up the Banking ERM
Riding the Artificial Intelligence Wave Requires Balancing Benefits with Risks
Looking to the future – the move from the 'What-Is' to the 'What-If'
EU Stress Testing 2.0
Risk Platform Transformation in the digital era
The emergence of Enterprise Model Risk Management
|Identifying and Managing the Financial Risks of Climate Change
|What COVID-19 can Teach Companies about Climate Risk
|GARP & SAS
|Reassessing and mitigating financial risks in uncertain times
|AI & model risk management technology
|Online Risk Management
|COVID-19 Pandemic Preparedness and Enterprise Risk Management
|Management of artificial intelligence risks
|Industry & Regulatory Update: Stress Testing 2.0 & Forward Looking Performance Management
|Enterprise Risk Management 2.0 – Looking to the Future
|AI and Risk Management
|Frankfurt School of Finance & Management