Managing Director, Financial Risk Management Group, Market Analytics, 2015 - 2020
Established the Market Analytics team as an integral part of the Financial Risk Management Group.• Helped drive consistent year over year revenue growth and risk identification.• Oversaw production of market commentaries covering topics such as interest rates, FX and commodities markets, market movements from data releases and headlines, FOMC meetings, foreign central bank meetings, etc.• Continually monitored markets, identified trends and generated analysis and recommendations to identify business development opportunities and risks in real time as markets and portfolios shifted.• Created sensitivity analyses for clients to quickly assess the potential impact of proposed hedging solutions across their exposure profile and under various market conditions.• Aided various regulatory reporting, documentation and transition efforts, including Dodd Frank, Swap Dealer, LIBOR to SOFR transition and CFTC and NFA compliance efforts. • Hired, trained and built a bench of junior talent.