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Majd HaidarMH

Majd Haidar

Risk Manager - Modeling|Quantification|Management

€500/day
Paris, FR
8-15 years

Average response time: 4 hours

Freelancer profile translated to English.
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About Majd

Risk Manager convinced of the value of a quantitative approach to risk management to inform decision-making.

What I offer:
✅ Implementation of an operational ERM framework from scratch
✅ Quantitative risk modeling through probabilistic simulations (Monte Carlo)
✅ Assessment of identified risks + analysis of existing control effectiveness
✅ Identification and monitoring of appropriate mitigation actions and their potential effectiveness
✅ Clear visualization of results ready for use by top management

Why choose me?
🎯 **Differentiating Approach**: quantitative vs. traditional methods
🛠️ **Concrete Tools**: Proprietary modeling tool — Monte Carlo simulations, applicable to any type of operational risk
⏱️ **Flexibility**: immediately available for 3-12 month assignments

Contact me for a 30-minute discussion to assess your needs!
  • French

    Native or bilingual

  • English

    Fluent

  • Arabic

    Native or bilingual

  • Spanish

    Basic

Can work on-site
Paris (up to 50km)

Experience

  • SERVIER
    RISK MANAGER
    PHARMACEUTICALS INDUSTRY
    October 2023 - February 2026 (2 years and 4 months)
    Suresnes, France
    Steering the group's ERM approach and leading risk committees at the corporate level.

    🔹 Facilitation of risk identification and scenario modeling workshops with business units (supply chain, R&D, finance, regulatory)
    🔹 Support for teams in their ongoing risk mapping and project risk analysis
    🔹 Management of the risk tool (ArengiBox) — data, access, updates, testing
    🔹 Development and monitoring of action plans and control measures
    🔹 Training project managers on best practices in risk management
    🔹 Deployment and facilitation of the group's crisis management system, including exercises and employee safety during travel
  • Aviva
    OPERATIONAL RISK MANAGER
    BANKING AND INSURANCE
    April 2018 - February 2022 (3 years and 10 months)
    Bois-Colombes, France
    Participation in the deployment and improvement of the operational risk management framework in a regulated insurance environment (Solvency II).

    🔹 Challenging risk assessments made by business units and leading the risk committee
    🔹 Risk modeling within the internal model framework — calibration of exposure, frequency, and severity
    🔹 Management of the risk tool (IBM OpenPages) — data, access, updates, testing
    🔹 Implementation and monitoring of the system for collecting risk events and trigger events
    🔹 Formalization and monitoring of action plans and risk indicators
    🔹 Automated reporting via Excel and Qlik (SQL)
    Risk Analysis Microsoft Excel Risk Management Risk Management Governance, Risk & Compliance (GRC)

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Education

  • Master: Risk Engineering
    Université Paris 1 Sorbonne
    2018

Skill set

Categories

  • Other