•Senior quantitative risk and investment manager with expertise in asset management, banking &insurance.
•Additionally seasoned Asset and Liability Manager.
•Portfolio Manager delivering over 5 years of successful returns on materially large investment portfolios.
•Global capital markets expertise in fixed income, foreign exchange, commodity and equity derivatives.
•Proven ability to adapt to change with exceptional financial performance and industry relationships.
•Respected leader and manager with a commitment to recruiting, hiring, developing and stewarding teams.