Harry (Harald) Scheule is Associate Professor of Finance at the University of Technology, Sydney. His expertise is in the area of Asset Pricing, Banking, Credit and Liquidity Risk, Home Equity Release, House Prices in Distress, Insurance, Mortgages, Prudential Regulation, Real Estate Finance, Securities Evaluation and Structured Finance.
His award-winning research has been widely cited and published in leading journals. He currently serves on the editorial board of the Journal of Risk Model Validation. He is author and editor of five books on risk management.
Harry has worked with prudential regulators of financial institutions and undertaken consulting work for a wide range of financial institutions and service providers in Asia, Australia, Europe and North America. These institutions have applied his work to improve their risk management practices, comply with regulations and transfer financial risks.