Aller au contenu principal

Césaire MEH

Manager of Macro and Market Risk / IFC

Cesaire Meh is IFC’s Manager of Macro and Market Risk, leading a macro-financial team that provides economic research and analysis to support IFC’s investments, advisory efforts, and private capital mobilization. He joined IFC following a 22-year career at the Bank of Canada, where he held progressively senior roles across policy, operations and research.
At the Bank of Canada, Cesaire served as Senior Research Officer, guiding priorities on macroprudential policy, financial stability, and debt sustainability. Previously, as Managing Director of the International Economic Analysis Department, he provided policy advice and analyzed global economic and financial developments to inform monetary policy decisions. He also represented the Bank of Canada in several international working groups, including the G20 Framework Working Group and the Financial Stability Board’s Macroeconomic Assessment Group. Additionally, he chaired the BIS workstream on implementing the Basel III countercyclical capital buffer. In 2018, he was a Visiting Research Scholar at Princeton University. He has published extensively in scholarly journals, including the Journal of Monetary Economics, International Economic Review, Journal of Economic Theory, and Journal of the European Economic Association. In 2023, he was a lead author in the joint IEA-IFC flagship report Scaling Up Private Finance for Clean Energy in Emerging and Developing Economies. Cesaire holds a Ph.D. in Economics from the University of Western Ontario, Canada.