Journal of Risk Management in Financial Institutions is guided by its expert Editor and an eminent Editorial Board who review every article to ensure it is practical, authoritative and relevant:
- Dr. Madelyn Antoncic, Senior Fellow, New York University Development Research Institute (DRI) & Director and Founder, Sustainable Economic and Climate Development Initiative, DRI; Former Vice President and Treasurer, World Bank; Board Member, ACWA Power KSA & S&P Global Ratings
- Hugo Banziger, Former Chief Risk Officer, Deutsche Bank
- David Bobker, Director, Real Assurance Risk Management
- Klaus Böcker, Senior Manager, Risk Advisory, PwC Germany
- Francis Breedon, Department of Economics and Finance, Queen Mary, University of London
- Eduardo Canabarro, Former Managing Director, Global Head of Model Risk, Barclays
- Roger G. Chen, Former, VP, Office of Risk Management, New York Life Insurance Company
- Zhongyang Chen, Department of Applied Finance, Renmin University of China
- Dr. Moorad Choudhry, Non-Executive Director, Recognise Bank
- Joshua Cohn, Managing Principal, JBHS LLC
- Michael Dempster, Director, Centre for Financial Research, Judge Business School, University of Cambridge
- Aslihan Denizkurdu, Former Risk Management Chief Operating Officer & Head of Governance, Citigroup
- Francis X. Diebold, Professor of Economics, Finance and Statistics, Wharton School, University of Pennsylvania
- Helmut Elsinger, Austrian Central Bank
- John Fell, Deputy Director General, European Central Bank
- Allan D. Grody, President, Financial InterGroup
- Tom Grondin, Chairman of the Board, Transamerica Life Bermuda
- Simon Hall, Head of Banking Policy Division, Bank of England
- Gregory P. Hopper, Former Global Head of Enterprise Risk Management, Goldman Sachs
- John Hull, Director, Centre for Finance and Maple Financial Group Chair in Derivatives and Risk Management, Joseph L. Rotman School of Management, University of Toronto
- Robert A. Jarrow, Professor of Finance and Economics, Johnson Graduate School of Management, Cornell University
- David R. Koenig, President and Chief Executive Officer, The DCRO Risk Governance Institute
- Christian Kronseder, CEO, ALLINDEX - Investing 2.0
- Paul Kupiec, Resident Scholar, American Enterprise Institute for Public Policy Research
- Jovi Law, Managing Director, Head of Risk Management, CMB International
- Steve Lindo, Principal, SRL Advisory Services
- Robert M. Mark, Chief Executive Officer, Black Diamond
- Edmond Moriarty, Chief Financial Officer and Chief Risk Officer, Rockefeller Capital Management
- Michael K. Ong, Professor of Finance, Stuart School of Business
- Gideon Pell, Distinguished Lecturer in Information Systems, Baruch College, Acting Director, Subotnick Financial Services Center and Former Chief Risk Officer, New York Life Insurance Company
- Christian S. Pedersen, Managing Director, Strategy & Consulting, Accenture Singapore
- Dan Rosen, Visiting Fellow, Fields Institute for Research
- Anurag Saksena, Founder and President, Global Risk and Capital Advisors
- Steven Satchell, Reader in Financial Econometrics, University of Cambridge
- Til Schuermann, Partner, Oliver Wyman
- Luis A. Seco, Department of Mathematics, University of Toronto, Director, RiskLab Toronto and President and CEO, Sigma Analysis & Management
- Gustavo A. Torres, Head of Business Development, Smart Risk Solutions
- Stan Uryasev, Professor, Stony Brook University
- Yiming Wang, Professor, Department of Finance, Peking University
- Sarah Wilson, Senior Lecturer in Law, York Law School, University of York
- Timothy S. Wilson, Managing Director and Co-Head, Global Risk Management Advisors
- Thomas C. Wilson, CEO, President and Country Manager, Allianz Ayudhya
- Richard Wise, Group Chief Risk Officer, HKEX group
- Max Wong Chan Yue, Executive Director, Head of Risk Model Validation, Singapore Exchange