Julian B.
Skills
Financial and operational risk assessment • Risk control development, implementation, and monitoring • Regulatory compliance • Multi-asset derivative trading/hedging • Investment portfolio management • In-depth knowledge of financial markets and complex financial products • Financial modeling • Project management • Front to back office process integration • Systems implementation • Contract negotiation • Banking relationship management
About
Dynamic capital markets leader with over 25 years of experience in institutional and corporate financial risk management. Demonstrated expertise in developing robust risk frameworks and overseeing multi-asset portfolios. Skilled in leading high-performing teams and collaborating across functions to drive strategic initiatives. Demonstrated ability to clearly communicate key risks to stakeholders at multiple levels, enhancing market risk transparency and supporting organizational success.