I have over 9 years’ of experience in financial markets risk having carried out various projects across market risk, regulatory-driven change and Brexit. Recently I have had PMO experience supporting a global asset manager to plan, design and implement the transition of assets from incumbent provider. I have also worked on helping a clearing house client on a new product launch, in particular validating the initial margin model via analysis of backtesting results to submission for internal and regulatory approval.
Previously I has been involved in many migration projects in particular setting up Clearing memberships for a new entity and working front to back on a entity ramp down project which includes replicating triparty collateral schedules for an existing entity. I enjoy building and improving tools against changing policies and regulations. I am mathematically capable as well as being a polished consultant.