Manager, Advisory FS Regulatory & Compliance Risk, KPMG US
Hugh Walsh
Manager, Advisory FS Regulatory & Compliance Risk
Hugh is a Manager in KPMG’s Regulatory Risk practice. Hugh has over 25 years of experience in financial services as a regulator, trader and head of operations. During his tenure at KPMG, Hugh has provided regulatory expertise and analysis to clients and more senior staff at the firm while also working on CCAR Reporting, Basel III/market risk gap testing, Federal Reserve Exam Readiness, Regulatory Reporting, Basel III Capital engagements.
Prior to joining the firm, he was a Senior Regulator with the New York State Department of Financial Services in their Foreign and Wholesale Division. Hugh was responsible for examination planning and execution to all areas relative to safety and soundness, including risk management, compliance, capital, liquidity, asset quality, and operational risk.
Hugh’s areas of expertise include QFCs, CCAR, regulatory reporting, credit risk, loan review, policy and procedure development, market and liquidity risk, BSA/AML compliance, and internal controls. He also has experience as an FX trader, head of back office operations, and accountant.