Summary
Overview
Work History
Education
Skills
Accomplishments
Additional Information
Certification
Interests
PUBLICATIONS
Timeline
Generic

VICTOR AUGUSTO COS MONTIEL

Risk Management, Investments, Structured Finance, Assets Valuation, Fundamental Analysis,
Mexico City

Summary

Knowledgeable investments professional and risk manager with comprehensive board experience, offering strategic insights and governance expertise. Contributed to impactful policy decisions and organizational growth in previous roles. Demonstrated leadership and analytical skills in driving company success and fostering team collaboration.

Overview

26
26
years of professional experience
12
12
Certifications
3
3
Languages

Work History

Risk Management Processes and Financial Supervision Director

CONSAR (Comisión Nacional del Sistema del Ahorro para el Retiro)
02.2022 - Current
  • In charge of a financial supervision area, managing financial oversight of AFORE, ensuring regulatory compliance for investment, middle office and back office processes, as well their financial risk management.
  • Improved risk mitigation through enhanced financial supervision techniques by assessing portfolios management, reducing regulatory findings in a three-year period.
  • Development of continuing education program for AFORE, establishing key partnerships among all parts.

Risk Committee Independent Board Member

ISSSSPEA (Instituto de Seguridad y Servicios Sociales para los Servidores Públicos del Estado de Aguascalientes)
02.2023 - Current
  • I advise the state of Aguascalientes government pension fund on best financial risk management practices for their investment process.
  • Development and review of their investment policy statement (IPS) and risk management manual.
  • Follow up on troubled assets, technology needs, among others, resulting in a currently sustainable retirement fund.
  • Main achievements: the fund has regularly achieved the needed return to meet liabilities.
  • Fostered collaboration among board members, promoting open communication and shared decision making.

Head of Financial Certifications

AMIB (Asociación Mexicana de Instituciones Bursátiles)
04.2018 - 01.2022
  • Update, research and development of financial certifications required from regulatory offices for financial advisors and traders in Mexico. In charge of a high performance team of 32 persons providing mentorship, guidance, and opportunities for professional growth.
  • Oversight of operational processes.
  • During the pandemic period improved project efficiency with strategic planning, resource allocation, and time management practices.
  • Established key public relationships with local authorities and international certifying authorities, such as FINRA and CFA Institute.

Head of Risk and Structured Finance Products

HITO Servicing
04.2018 - 12.2018
  • Led the team in charge of structuring and follow-up of residential mortgage backed securities, working effectively in fast-paced environments, securing total compliance of legal dispositions with no observations from the authority.
  • Monitoring and measurement of credit risk for mortgage loans portfolio.

Deputy Head Traded Risk

HSBC México Deputy Head of Traded Risk
08.2016 - 03.2017
  • Did Stress Testing for 'Held for trading' and 'Available for sale' investment portfolios in Mexico. Responsible for reporting such tests to headquarters for Mexico and Latin America.
  • Development of IPS and risk limits for the insurance business in Mexico.

Prudential Analysis Manager

INFONAVIT (Instituto Nacional del Fondo Nacional de la Vivienda para los Trabajadores)
06.2014 - 02.2016
  • Head of financial risk management at the Financial Markets area, with a starting managed amount of over MXN$50,000 million, identifying, monitoring, reporting and mitigating financial risks, with daily follow-up.
  • Supervision of credit and default risk analysis for fixed income instruments, opportunely identifying troubled assets.
  • Forecasting of financial statements, fundamental analysis for debt, cash flow projections for structured debt and determination of fair prices for equities.
  • Generation of risk and return reports.
  • Oversaw implementation of the Risk Management Module.

Research and Development Manager

INFONAVIT (Instituto Nacional del Fondo Nacional de la Vivienda para los Trabajadores)
05.2007 - 06.2009
  • Coordinated activities to find alternative ways of financing in the capital markets for the short, medium and long term, such as securitized instruments and past due mortgage portfolio trusts, successfully closing deals.
  • Lead development of internal and public technological tools, such as debt structuring modules and RMBS valuation, including testing and release.
  • Valuation of structured debt, mezzanine and equity tranches, and past due portfolio.
  • Development and automation of analytics used to evaluate and monitor the behavior of INFONAVIT's outstanding debt in the financial markets (RMBS), totaling more than UDISS22,000 million issued (around MXN $100,000 million). One key success was reducing the gap on prices between price vendors, increasing secondary market efficiency.

Portfolio Metrics Sr Analyst

GE Money Bank
09.2005 - 05.2007
  • Generation and analysis of metrics used to monitor the retail portfolio, expected loss allowances, performance trends, portfolio evolution, fees and P&L contributing to an increase of income in 2006 and 2007.
  • Rating of retail loans according to legal dispositions.
  • Gathering of evidence for compliance with the legislation in force at the time.

Analyst

CNBV (Comisión Nacional Bancaria y de Valores)
09.2000 - 09.2005
  • Surveillance of banking institutions in Mexico reviewing their loan portfolios.
  • Rating of commercial loans through financial fundamental analysis achieving improvement on allowances for expected losses.
  • Development of credit risk methodologies.
  • Development and automation of methodologies for securities valuation.

Education

Master of Science - Finance

ITAM (Instituto Tecnológico Autónomo De México)
Mexico
05.2001 -

Bachelor of Science - Actuarial Science

Universidad Anáhuac Del Sur
Mexico
05.2001 -

Skills

Financial Analysis

Financial Risk Management

Fundamental Analysis

Financial instruments structuring

Investment Policy Development and Implementation

Commercial Portfolio Analysis

Corporate governance

Teamwork and collaboration

Problem-solving

Decision-making

Organizational leadership

Accomplishments

  • Implementation of diverse investment strategies
  • Team leadership success
  • Return goals achievement
  • Managed implementation of technological tools

Additional Information

Book "Mercados Financieros e Instrumentos de Inversión en México". Collaborated writing the chapter "Comportamiento del mercado de bonos en México.

Have taught at ITAM and Tecnológico de monterrey at masters and college level.

Certification

CFA Charterholder

Interests

Philately and numismatic, Tennis and football

PUBLICATIONS

  • Book "Mercados Financieros e Instrumentos de Inversión en México"
  • Collaborated writing the chapter "Comportamiento del mercado de bonos en México"

Timeline

Risk Committee Independent Board Member

ISSSSPEA (Instituto de Seguridad y Servicios Sociales para los Servidores Públicos del Estado de Aguascalientes)
02.2023 - Current

Risk Management Processes and Financial Supervision Director

CONSAR (Comisión Nacional del Sistema del Ahorro para el Retiro)
02.2022 - Current

Head of Financial Certifications

AMIB (Asociación Mexicana de Instituciones Bursátiles)
04.2018 - 01.2022

Head of Risk and Structured Finance Products

HITO Servicing
04.2018 - 12.2018

Deputy Head Traded Risk

HSBC México Deputy Head of Traded Risk
08.2016 - 03.2017

Prudential Analysis Manager

INFONAVIT (Instituto Nacional del Fondo Nacional de la Vivienda para los Trabajadores)
06.2014 - 02.2016

Research and Development Manager

INFONAVIT (Instituto Nacional del Fondo Nacional de la Vivienda para los Trabajadores)
05.2007 - 06.2009

Portfolio Metrics Sr Analyst

GE Money Bank
09.2005 - 05.2007

Master of Science - Finance

ITAM (Instituto Tecnológico Autónomo De México)
05.2001 -

Bachelor of Science - Actuarial Science

Universidad Anáhuac Del Sur
05.2001 -

Analyst

CNBV (Comisión Nacional Bancaria y de Valores)
09.2000 - 09.2005
VICTOR AUGUSTO COS MONTIELRisk Management, Investments, Structured Finance, Assets Valuation, Fundamental Analysis,