
Bogdan Gabriel Moinescu is an experienced professional specializing in financial policy, early warning systems, and stress testing, with strong expertise in risk modeling, validation, and regulatory impact assessments. He has extensive experience participating in European-level working groups (e.g., IWG-ATC) and contributing to supervisory guidelines. Bogdan has an active academic background, focusing on bank management and risk assessment strategies, with numerous publications, including books and scientific papers on banking strategies and instruments. He has a solid understanding of EU economic reform issues, particularly the Banking Union, and has provided technical assistance on prudential regulation as a consultant for the TAIEX program, working with supervisory authorities in Turkey, North Macedonia, and Ukraine.