Aris Mallari Briones Cpa Cia Cfsa
About Aris Mallari Briones Cpa Cia Cfsa
Aris Mallari Briones is the Head of Risk and Compliance in Hong Kong, currently working at QBE Insurance since 2020. He has extensive experience in internal audit and risk management across various financial institutions and multinational companies.
Current Role at QBE Insurance Group
Aris Mallari Briones serves as the Head of Risk and Compliance at QBE Insurance in Hong Kong. He has held this position since 2020, overseeing risk management and compliance strategies within the organization. His role involves ensuring that the company's operations align with regulatory requirements and internal policies, contributing to the overall governance framework.
Previous Experience at QBE Insurance
Before his current position, Briones worked at QBE Insurance as an Internal Audit Senior Manager from 2018 to 2020. In this role, he was responsible for conducting internal audits and assessing the effectiveness of internal controls. His tenure at QBE laid the foundation for his current leadership role in risk and compliance.
Professional Background in Audit and Risk Management
Briones has extensive experience in audit and risk management across various financial institutions. He worked at Ernst & Young as a Senior Manager in Financial Services - Risk from 2007 to 2013. He also held positions at Deloitte as a Senior Auditor and at Standard Chartered Bank as a Senior Manager in Fund Trustee Services. His background includes working with global banks and large asset managers, focusing on internal audit, operational risk, and regulatory compliance.
Educational Background in Accounting
Aris Mallari Briones earned a Bachelor of Science in Accountancy from Colegio de San Juan de Letran, completing his studies from 1997 to 2001. His educational background in accounting has provided him with a strong foundation for his career in risk management and compliance within the financial industry.
Expertise in Financial Industry Standards
Briones possesses expertise in the three lines of defense model, which is essential for effective risk management in the financial industry. His experience spans various sectors, including banking and insurance, where he has worked with multinational companies and large asset managers. This expertise enables him to navigate complex regulatory environments and implement robust compliance frameworks.