Petar Brajovic, Head of Collateral Management Unit, Strategic Risk Management and Control Department, UniCredit Bank Serbia JSC
![image](mediamat/2017/speakers/1497506757_Petar Brajovic 300.jpg)
As the Head of Collateral Management Unit, Strategic Risk Management and Control Department, UNICREDIT BANK SERBIA JSC, Petar is responsible for:
- Management of all activities related to collateral within the Bank
- (Corporate and Retail client segments)
- Economic and legal valuation of collateral for ICAAP purposes including application of haircuts, determining eligibility, legal certainty, etc.
- Statistical monitoring of collateral values
- Fulfillment of local (NBS) and Group (EU CRD/Basel) requirements
- (LLP/RWA/classification) for collateral
- Maintenance and implementation of all credit risk mitigation policies related to collateral
- LGD modeling, refinement and validation
- Collateral related reporting (NBS/UniCredit Group/Bank internal authorities)
- Management of relations with external associates (valuers, insurance companies, project surveyors, etc.)
- Strategic advisory in workout processes, project financing and asset management
- Development of underwriting tools (collateral related parts)