Personal profile
Biography
Dr. Anum Qureshi is a Lecturer in Finance and a member of the Accounting, Finance, Economics & Governance (AFEG) Subject Group at Roehampton Business School of the University of Roehampton, London. Her PhD is from the University Paris 1 Pantheon Sorbonne, France. She specializes in Financial Institutions, Risk Management, ESG, and FinTech. She is experienced in teaching students from diverse learning backgrounds at both undergraduate and postgraduate levels. Her research has been published in prestigious journals such as the Journal of Banking & Finance, Journal of International Financial Markets, Institutions, & Money, and Finance Research Letters, among others.
Qualifications
PhD Finance, University Paris 1 Pantheon Sorbonne, France.
Research interests
Anum's research interests include Risk Management, Regulatory Frameworks of Financial Institutions, Environmental, social, and Governance (ESG) issues, Risk implications of Central Bank Digital Currencies (CBDCs), and implications of FinTech-based financing for the banking systems.
Research projects
Research Grant under the Block Funding of the Ministry of Higher Education, Research, and Innovation (MOHERI), Oman. (2023)
Teaching
Anum has delivered the following modules at undergraduate (UG) and postgraduate (PG) levels.
- Project Risk Appraisal and Management (PG)
- Managing International Trade (PG)
- Risk Management (PG)
- Financial Risk Management (UG)
- Corporate Finance (UG)
- Financial Management (UG)
- Business Finance (UG)
Education/Academic qualification
Finance, PhD, Universite Paris 1 Pantheon Sorbonne
Award Date: 15 Dec 2020
Keywords
- HG Finance
- Banking and Finance
- Risk management
- Financial regulations
- Environmental, Social, and Governance (ESG)
Collaborations and top research areas from the last five years
Projects
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A Strategic Framework of FinTech Adoption in the Sultanate of Oman
Rizwan, M. S. (PI), Al-Salti, Z. (CoI), Al Balushi, W. (CoI) & Qureshi, A. (CoI)
Project: Research
Research output
- 5 Article
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Impact of sovereign credit ratings on systemic risk and the moderating role of regulatory reforms: An international investigation
Sahibzada, I. U., Rizwan, M. S. & Qureshi, A., Dec 2022, In: Journal of Banking & Finance.Research output: Contribution to journal › Article › peer-review
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Russia–Ukraine war and systemic risk: Who is taking the heat?
Qureshi, A., Rizwan, M. S., Ahmad, G. & Ashraf, D., Aug 2022, In: Finance Research Letters. 48Research output: Contribution to journal › Article › peer-review
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Macro-prudential regulations and systemic risk: the role of country-level governance indicators
Rizwan, M. S., Qureshi, A. & Sahibzada, I. U., 11 Dec 2023, In: Journal of Banking Regulation. 25Research output: Contribution to journal › Article › peer-review
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Risk management practices and credit risk of the significantly supervised European banks
Qureshi, A. & Lamarque, E., Sept 2022, In: Journal of Financial Regulation and Compliance.Research output: Contribution to journal › Article › peer-review
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Central bank digital currency and systemic risk
Rizwan, M. S., Ahmad, G. & Qureshi, A., 22 Dec 2024, In: Journal of International Financial Markets, Institutions & Money.Research output: Contribution to journal › Article › peer-review
Open Access