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Seasoned Finance and Project Executive moulded in the highly selective Investment Banking environment. Transacted in a broad spectrum within Financial Markets, including areas such as Fixed Income, Equity, M&A, Asset Finance, Derivatives, Liability Management, and Corporate Advisory both in public and private markets. Highly experienced in originating, leading, structuring, and executing intricate projects and advisory mandates globally, serving financial institutions, SME and large cap corporations, and infrastructure/transportation sectors.Thrive under pressure in dynamic and competitive environments, adept at spearheading and closing transactions to achieve tangible outcomes. Detail-oriented and proactive in addressing challenges, with a penchant for strategic thinking and business development. Anticipate industry shifts, adapting operations proactively to stay ahead.I'm an independently-minded strategist who revels in the dynamism and prospects presented by a constantly evolving landscape. With an insatiable intellectual curiosity and diverse interests, I have never stopped learning. Being in the engine room of financial markets has provided me with versatile skills, wich are readily adaptable to related areas such as Asset Management, Corporate Banking, Treasury, Corporate/Sustainable Finance, Insurance, Advisory or with a Family Office.
Self-Employed
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Blue Horizon Capital | Algorithmic Trading | Equity, Fixed Income, Fx, EtfsSelf-EmployedLondon, England, United Kingdom
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Private Trader | Equity, Fixed Income, Fx, EtfsSelf-Employed Aug 2021 - PresentZug, SwitzerlandI actively manage a personal investment portfolio across multiple asset classes including stocks, bonds, levered ETFs, and foreign exchange (FX), utilizing a global macro approach combined with individual risk selection.Global Macro Strategy: Analyze global economic trends, geopolitical events, and central bank policies to identify key investment opportunities across different markets.Asset Allocation: Allocate capital across asset classes with a dynamic approach, adjusting portfolios to reflect shifting market sentiment and macroeconomic developments.Equity and Fixed Income Investments: Conduct fundamental and technical analysis to identify undervalued securities with long-term growth potential, while managing exposure to interest rate, credit risk and FX risk
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Head Of Ssy Finance, Managing DirectorSsy Finance 2017 - 2021London, United KingdomEstablished, set up and lead a bespoke financing, direct investment and corporate advisory company for global transportation, infrastructure and natural resources clientsProduct range spanning across equity and debt placements, mezzanine financing, asset finance, leasing structures, restructuring, M&A and financial corporate advisoryInitiated and expanded global investor coverage with Private Equity and Hedge Funds, Venture Capital, Insurances, Private Banks, specialized funds and family officesEstablished corporate and legal structure, developed and implemented business strategy. Incorporated regulated broker dealer entities in the UK and the US, recruited employeesRegulatory compliance oversight with SEC and FCA. Role defined as “Significant Management” function by both regulatorsPioneered development of an ESG equity investment platformProvided advisory, financial solutions and investment banking services such as- Financing and corporate advisory- Debt and Equity Offerings- Mezzanine and Hybrid Capital- IPOs- Public and private placements- Merger and Acquisitions- Restructurings- Sale and leasebacks
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Head Of European And Us Debt Capital MarketsCommonwealth Bank 2013 - 2016London, United KingdomEstablished CBA’s offshore Debt Capital Market presence and managed a growing team from LondonAdvised on opportunities for debt financing for European, US and Australian corporate and financial institutions and public sector borrowersExpanded the bank’s footprint with European and US clientsGenerated ancillary business from the bank’s existing lending relationships by originating and executing public and private placements and associated derivative transactionsEstablished the bank’s niche currency placement including offshore AUD, NZD and Asian currencies -
Director Debt Capital MarketsCredit Suisse 1998 - 2012London, United KingdomAdvising financial institutions, public sector and corporate clients for debt capital markets transaction including senior and covered bonds, subordinated and hybrid capital transactions. Originated and structured funding and capital solutions in public or private format. Executed asset-liability management transactions and provided solutions for funding, capital relief and securitisation opportunitiesAdvised CEO's, CFO's, Treasury Departments and Governments about optimal capital and funding structures in light of ever changing regulations and best execution for upcoming financing needs.
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Frequently Asked Questions about Jan Keller
What company does Jan Keller work for?
Jan Keller works for Self-Employed
What is Jan Keller's role at the current company?
Jan Keller's current role is Blue Horizon Capital | Algorithmic Trading | Equity, Fixed Income, FX, ETFs.
What is Jan Keller's email address?
Jan Keller's email address is ja****@****sse.com
What skills is Jan Keller known for?
Jan Keller has skills like Capital Markets, Investment Banking, Fixed Income, Financial Markets, Bonds, Financial Structuring, Derivatives, Banking, Corporate Finance, Credit Derivatives, Funding, Securitization.
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Jan Keller
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