- Expert in financial market risk management
- Experience in both corporate and institutional risk issues
- Asset and liability side: Investment and Hedging advisory
- Cross asset perspective: Foreign Exchange; Interest Rates; Debt Capital Markets; Credit; Commodities; Catastrophe Bonds and ILS, Weather Derivatives
- Strong understanding of both G10 and Emerging Markets
- Relationship management angle
Specialties: - Originator approach/role
- Cross Asset Derivatives/Structured Products
- ISDA (Legal Framework)
- IFRS (IAS 39 and applications)
- Market Risk Advisory through Financial Statements Analysis
- Tax applications