Brian Geiger is VP of Enterprise Risk at RBC Capital Markets and has over 15 years of experience in financial risk.
Brian has been Vice President, Enterprise Risk since May 2017. In this role, Brian is responsible for RBC’s Recovery & Resolution Planning, compliance with Basel requirements for regulatory capital models, and measuring & limiting concentration risks in the bank’s wholesale credit portfolio. Also in this role, Brian leads the Risk Appetite team, is building out RBC’s Emerging Risk platform and has responsibility for assessing internal credit ratings on sovereign nations, Canadian provinces and US states.
Brian’s career started with RBC in January 2002 in Market Risk with roles in Toronto and New York, prior to joining the Securitization Finance group in 2007. In 2009, Brian returned to Market Risk to lead the Portfolio Analysis team with an emphasis on stress testing and derivative counterparty risks.
Brian holds a BA in Economics from Wilfrid Laurier University and an MA in Economics from Simon Fraser University. He is also a CFA charter holder, and is a member of the Board of Directors for the Toronto Chapter of the Risk Management Association.