Steve Marlin
Steve Marlin is a New York-based staff writer on the risk management desk for Risk.net. He has an MBA from Columbia University Graduate School of Business. Contact at: steve.marlin@incisivemedia.com
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Articles by Steve Marlin
Fed hiring more staff to examine cloud providers
Regulator wants to put more “boots on the ground” at firms such as Amazon, Google and Microsoft
ECB’s stress capital buffer still a ‘black box’ – banks
National regulators retain wide latitude to set Pillar 2 Guidance under new rules
Singapore banks step up their game against internal fraud
Firms respond to MAS warnings about the dangers of remote working spurred by Covid
Regulators voice concerns over cloud risk
Failure of big cloud service provider could cause “a very large shock”, says NY Fed exec
Covid-19 frazzles AI fraud systems
Seismic changes in customer behaviour see machine learning solutions throw out false positives
Fed could postpone stress buffer beyond CCAR – experts
Delays prompt speculation that the new rules will only be known after the stress-test results in June
Banks ask Fed to delay CECL impact on stress testing
Fed asked not to implement CECL into CCAR until 2021
Goldman, Morgan Stanley push for stress test changes
Balance sheets will shrink in a crisis, not grow, trading houses argue
Fed’s risk proposal puts banks on the defensive
New supervisory guidance will make business heads responsible for risk management
OCC warns on cyber risks from subpar patches at US banks
Regulator says banks have good track record overall, but exams reveal weaknesses
Model risk falls under the CCAR microscope
Fed using qualitative reviews to test the quality of model risk governance
US regulators asked to play greater role in cyber security
Financial institutions cannot battle threats on their own, the CFTC is told