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Rob Paolino

Rob Paolino

Regulatory CompliancePortfolio ManagementData GovernanceFinancial AnalysisFinancial Analysis and Reporting

Rob Paolino

    About

    Rob is a seasoned leader and practitioner with over 25 years of experience in risk management and governance, with a core focus on the financial industry. Known for his strategic mindset and innovative approach, Rob has consistently driven enhancements in enterprise risk programs, regulatory compliance, and corporate governance frameworks.

    His expertise spans across multiple risk verticals, including credit underwriting, asset liability management, and advanced analytics. Rob has led high-performing teams and engaged stakeholders at every level—from global executives to board directors—delivering impactful solutions that align risk management with broader business objectives.

    Throughout his career, Rob has overseen complex projects involving diverse credit portfolios, including corporate, commercial, and syndicated lending. His contributions include the development of robust credit scoring models, data governance frameworks, and forward-looking stress testing methodologies. He brings a unique ability to translate intricate risk concepts into actionable insights, facilitating alignment and buy-in across stakeholder groups.

    Passionate about the evolving landscape of risk management, Rob thrives on solving complex challenges that enhance organizational resilience and strategic decision-making. Whether leading the design of advanced analytics programs or optimizing financial portfolios for performance and compliance, he remains committed to leveraging his expertise to drive long-term value and sustainable growth.

    Regulatory CompliancePortfolio ManagementData GovernanceFinancial AnalysisFinancial Analysis and ReportingBusiness GrowthOperational ExcellenceEnterprise Risk ManagementCorporate GovernanceCredit UnderwritingAsset Liability ManagementRisk AnalyticsCredit ScoringStress TestingRisk ProgramsRisk Strategies