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Emmanuel Dooseman

Global Banking Leader

Emmanuel is leading our Banking Practice and is head of our Corporate & Investment Banking group. He has more than 20 years’ experience in Capital Market & Trading serving as a banker, a consultant and an auditor. Emmanuel started his career in 1996 as a money market trader in the Treasury Department of Credit Commercial de France (HSBC France). In 1998, he joined Mazars Paris office and was involved since then in Capital Market audit and advice for various clients within the Corporate & Investment Banking industry in France, Europe and the US.
Emmanuel is specialised in Fixed Income and Equity Trading (Cash and Derivatives), Arbitrage, Derivative Structuring, Structured Finance, Asset and project financing. As an expert on financial instruments he supports assignments dealing with valuation policies, governance and process for financial instruments, risk measurement methodologies and framework, and risk management. He is also in engagement partner for statutory audit of systemic French banks and trading entities of international banks. Emmanuel lectures markets trading, banking audit and banking regulation for French Universities and Business Schools and is regularly invited as guest speaker for conferences dealing with financial and banking risks, banking regulation, structured and complex assets management.

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Articles by this author

Federal Reserve Board Publishes 2020 Stress Testing Results and Additional Sensitivity Analysis

Perspectives

The Federal Reserve Board released stress test results for DFAST 2020 including additional sensitivity analysis, considering the COVID19 outbreak, to assess the resiliency of large...

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Are banks underestimating the risks of Covid Emergency Loans?

Perspectives

During the last few weeks, the volume of loans issued by banks has snowballed as governments release programmes to bail out businesses affected by Covid-19....

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COVID-19: Major risk considerations for the banking sector

Perspectives

As we continue to feel the effects of the global pandemic, the banking sector, like many other sectors, now faces unprecedented uncertainty about the economic...

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COVID-19, banks and regulation: the road ahead in the UK and Europe

Perspectives

The Covid-19 outbreak and the unprecedented emergency it presents has created a unique threat to the world’s economy. Like all sectors, banking has been impacted,...

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Re-engineering the banking sector

Perspectives

In recent years, disruption to the banking sector has seen an increasing number of partnerships between banks and FinTechs, as banks look to acquire the...

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European CIB firms penalised by their regulatory environment

Perspectives

September 2018 saw the tenth anniversary of the collapse of Lehman Brothers, the US corporate and investment bank that was symbolic of Wall Street. Its...

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