Fabio Kanashiro

Fabio Kanashiro Email and Phone Number

Head of risk governance and data and projects @ Stone
State of São Paulo, Brazil
Fabio Kanashiro's Location
São Paulo, São Paulo, Brazil, Brazil
About Fabio Kanashiro

Career in the areas of Risk Management, Project Management and Collateral Management. Professional with more than 15 years of experience with extensive record of accomplishment in implementation of risk management policies and processes, projects and collateral management. • Experience in the implementation of Risk Processes and reports using BI and programming tools to monitor, evaluate and allow the proper escalation of market, liquidity, operational and counterparty credit risks.• Successful leadership of projects with matrix interfaces and multidisciplinary and international teams. Highlighted international experience in London for risk management policies and activities evaluation and in Stockholm for specification of risk management systems with Swedish supplier.• Acting in managing and implementing new products and projects (processes and risk systems), interfacing with several areas of the company, such as Trading, Products, Finance, Compliance, IT, Settlement, Registration, Custody, Banking.• Experience in assessing adequacy of new products and processes to the regulation and to design and implement internal policies.• Experience with pricing and risk modelling of exotic OTC Derivatives.

Fabio Kanashiro's Current Company Details
Stone

Stone

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Head of risk governance and data and projects
State of São Paulo, Brazil
Website:
stone.com.br
Employees:
13522
Fabio Kanashiro Work Experience Details
  • Stone
    Head Of Risk Governance And Data And Projects
    Stone
    State Of São Paulo, Brazil
  • Stone
    Head Of Risk Governance / Data / Projects
    Stone Mar 2024 - Present
    São Paulo, São Paulo, Brasil
  • Saint Paul Escola De Negócios
    Lecturer
    Saint Paul Escola De Negócios Mar 2020 - Present
    São Paulo, Brasil
    Lecturer in several courses – Risk Management, Derivative and other – with experience on the following subjects: derivatives (futures, swaps and options), fixed income, market risk and central counterparty risks.
  • Mufg
    Financial Risk Manager
    Mufg Feb 2022 - Mar 2024
    São Paulo, Brazil
    Responsible for market, liquidity and counterparty credit risks.
  • Hedgepoint Global Markets
    Head Of Risk
    Hedgepoint Global Markets Jan 2021 - Dec 2021
    São Paulo, Brazil
    Responsible for Market, Liquidity and Operational Risks. Also responsible for Pricing and Risk Modelling.
  • Ed&F Man Capital Markets
    Head Of Risk - Otc
    Ed&F Man Capital Markets Jun 2019 - Jan 2021
    São Paulo, São Paulo
    Responsible to build and manage a team accountable for: market, liquidity and counterparty credit risks.Responsible for building the Risk Management Governance Framework for ED&F Man Switzerland Ltd (OTC Division).
  • B3
    Lecturer
    B3 Mar 2015 - Jan 2020
    São Paulo E Região, Brasil
    Lecturer in the risk management course, with experience in: central counterparty risk; derivatives mapping (swaps, forwards, futures and options); market risk.
  • B3
    Project Risk Manager
    B3 Feb 2015 - Jun 2019
    São Paulo E Região, Brasil
    • Responsible for team management (05 employees and 06 consultants).• Responsible for projects of the Risk Management Board.• Experience in evaluating, prioritizing, specifying and managing the implementation of new products and projects (processes and risk systems), together with the operational areas of B3 (Products, Risk, Settlement, Registration, Custody, Trading, Information Services and Bank) and IT.• Manage the preparation of schedules and the implementation strategy of the projects, ensuring the alignment between the different areas involved.• Represent the Risk Management Board in the process of building B3's project governance. Responsible for building the strategy of communication with clients, through the preparation of lectures, visits and conference calls.• Evaluate customer needs by reviewing processes based on feedback.• Perform internal and market tests and continuously evaluate risk monitoring and simulation processes and their interfaces to the market (screens, messages and files), working on the investigation of problems in production, definition and implementation of improvements with other areas.• Perform technical evaluation to hire consultants, interacting with procurement area and managing contracts with suppliers.
  • Bm&Fbovespa
    Risk Management Coordinator
    Bm&Fbovespa Jan 2012 - Jan 2015
    São Paulo E Região, Brasil
    • Responsible for team management with three employees, responsible for risk control in the following markets: OTC derivatives, spot FX and government bonds.• Evaluation of price adequacy of OTC derivatives, analysis of the contracting of spot FX operations.• Management of changes in the parameters for calculation of OTC derivatives prices in the Technical Committee on Market Risk.• Management of the spot FX contracting limits and discussion of these limits in the Technical Committee on Credit Risk.• Responsible for the specification of risk management systems in the first phase of the Post-trade integration Program.• Specification of the risk management systems and their respective processes and team management with four employees responsible for the tests (systems and processes).• Execution of the processes during the implantation of the system in production during the stabilization period.• Two-month international experience in Stockholm (October-December 2012) for the specification of risk management systems with Swedish supplier (Cinnober).
  • Bm&Fbovespa
    Collateral Analysis Coordinator
    Bm&Fbovespa Feb 2010 - Dec 2011
    São Paulo E Região, Brasil
    • Responsible for the risk management of the collateral deposited for BM&FBOVESPA's Clearinghouses and team management with four employees, responsible for evaluating prices and haircuts used in the valuation of collateral.• Evaluation of the criteria for accepting collateral and their limits.• Formulation of policies and parameters for the evaluation of the BM&BOVESPA's Market Risk Technical Committee.
  • Bm&Fbovespa
    Collateral Operations Coordinator
    Bm&Fbovespa Sep 2008 - Feb 2010
    São Paulo E Região, Brasil
    Operational responsibility for collateral administration and team management with seven employees responsible for: monitoring and charging of margin calls (interacting with brokers), deposit and withdrawal of collateral, interaction with central depositories.
  • Bm&Fbovespa
    Collateral Management Analyst
    Bm&Fbovespa May 2006 - Sep 2008
    São Paulo E Região, Brasil
    Responsible for the creation and publication of management reports and creation and publication of reports to control illiquid assets deposited as collateral.

Fabio Kanashiro Education Details

Frequently Asked Questions about Fabio Kanashiro

What company does Fabio Kanashiro work for?

Fabio Kanashiro works for Stone

What is Fabio Kanashiro's role at the current company?

Fabio Kanashiro's current role is Head of risk governance and data and projects.

What schools did Fabio Kanashiro attend?

Fabio Kanashiro attended Universidade De São Paulo, Harvard Business School, Universidade Estadual Paulista Júlio De Mesquita Filho, Universidade De São Paulo.

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