Senior financial markets professional with over 20 years of experience in all aspects (structuring, pricing, marketing, risk managing) of FX and Interest Rate risks, fixed income derivatives, liquidity management, corporate finance and fund raising in various geographies (U.K., Europe, Middle East, Emerging markets of Central and Eastern Europe, Asia & Africa, India, others). Substantial derivatives in multi asset classes - Rates, FX, CDS, structured products, others Substantial experience in offering consultancy (and training) on financial markets risk management, treasury risk management, liquidity and liquidity risk management, complex derivatives, derivatives valuations, derivatives regulations including EMIR, Conduct Risk / Suitability & Remediation, MiFID Expertise on hedging and structured investment products for diverse clients Substantial experience in Interest Rate, FX, and Inflation Hedging both in Corporate and Pension Funds Setting Expert in building structured products business for private clients Expert in offering hedging solutions on the back of financing, M&A, capital markets activities FCA deep dive, Investment/FX Remediation expertise Significant Valuations expertise in Derivatives and Complex Financial Instruments / Securities linked to all asset classes Significant Project Management Expertise Expert reports on Derivatives / Suitability and Valuations Diverse clients include Banks, Financial Institutions, Asset Managers, SME, Large and Major Corporates, Private Equity firms, Real Estate firms, Social Housing, Family Offices and others
Founder & CEO at FXGuard Limited
Masters, Master in International Finance