Ben is a climate-related financial risk expert with over two decades of financial services experience working in both the public and private sector including at the Bank of England, the European Commission, Bloomberg and Aviva. Ben has run several sustainable finance fora including the Scenario Analysis Working Group of the Climate Financial Risk Forum, co-chaired by the Bank of England and UK Financial Conduct Authority. Ben holds a PhD in Mathematics from the University of Warwick.
Research interests
- Climate-related financial risk management
- Integration of climate and sustainability into financial policy and regulation
- The role of insurance in increasing climate resilience