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      As a Director in the Financial Services team, Franz Lorenz focuses on issues relating to the management, monitoring and measurement of market price and counterparty default risks as well as quantitative methods. He is responsible for strategic and conceptual projects in these areas as well as projects to implement regulatory requirements and process/model adjustments. Franz Lorenz is jointly responsible in particular for services relating to IBOR reform, FRTB and SA-CCR.

      1. Area Of Expertise

        Data and analytics

        Family businesses and SMEs

        Financial management

        International markets

        Continuous review and monitoring

        Counterparty credit risk

        Model risks

        National markets

        Process optimisation of the finance and accounting department

        Risk management

        Smart Start

        Strategy

        Growth markets

        Public policy and regulatory changes

      2. Education & Qualification

        Graduate business mathematician