Baher Abdelaziz is an economist with over 18 years of extensive experience in financial institutions and consulting. His background includes internal and external auditing, as well as business consulting. His deep expertise covers key areas such as liquidity risk management, interest rate risk, expected credit losses (ECL), market risk, asset and liability management, recovery plans, and financial stress test reports.
This diverse experience has sharpened his analytical skills and attention to detail, enabling him to assess complex financial landscapes and make precise, informed decisions.
Beyond auditing and enhancing risk management, Baher also has broad experience in business consulting and financial research. He has successfully conducted numerous business valuations and feasibility studies, helping organizations make strategic decisions that foster growth and sustainability. His commitment to industry-level research also allows him to provide practical and actionable insights to strengthen financial strategies and operational efficiency.
Driven by a passion for innovation, Baher Abdelaziz leverages his diverse expertise to support organizational goals and contribute to the success of collaborative teams, ensuring tangible and sustainable long-term results.
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