Judit Mate is currently a Portfolio Risk Manager at HSBC, where they focus on RWA monitoring and collateral management within Commercial Banking. Previously, Judit held various positions in risk management and credit analysis at organizations such as Barclays Bank and Unicredit, contributing to projects related to stress testing and data governance. Judit also possesses a Master's degree in Economics from Bocconi and a Diplom in Economics from Johannes Gutenberg-Universität Mainz. Their extensive experience has involved managing reporting processes and enhancing data management practices across multiple financial institutions.
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