Where he helps businesses navigate the complex and evolving landscape of credit and market risk management. He has over a decade of experience in the capital markets, working with global banks, trading platforms, and regulatory agencies. He holds the FRM certification and is a CFA Level 2 candidate, demonstrating his proficiency and commitment to the field of finance.
One of his core competencies is the LIBOR transition, where he advises clients on the implications and strategies for the shift to alternative reference rates. He also has expertise in post-trade processing, option strategies, volatility curves, IRS hedging, and Basel III, U.S. SCCL, and FRTB regulations. He is passionate about delivering value-added solutions to his clients and staying abreast of the latest trends and developments in the financial industry.
Subjects
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Risk Management Intermediate-Expert
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Investment banking Intermediate-Expert
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Derivatives market Intermediate-Expert
Experience
No experience mentioned.