London, Greater London, United Kingdom
OTC FX DERIVATIVES, IR & COMMODITY PRODUCT SPECIALIST (vanilla, 2nd generation exotics, str.prod). recent Bloomberg L.P.
Investment Banking
Education
London Metropolitan University 2012 — 2014
Master of Science (MSc), Mathematics
Birckbeck: University of London 2004 — 2006
MSc in Applied Statistics and Stochastic Processes, Computational and Applied Mathematics (Finance)
7 CITY Learning EMEA 2010 — 2011
Certificate of Quantitative Finance, Mathematical Finance/ Financial Engineering
Professional Risk Manager International Association 2015 — 2016
Professional Risk Manager (PRM™)
London Guildhall University (London Metropolitan University) 1997 — 1998
Master of Science (MSc), Financial Markets and Derivatives (Department of Economics)
BI Norwegian School of Management 1993 — 1996
Bachelor of Business Administration (B.B.A.), Financial Economics
Experience
Bloomberg LP January 2013 - July 2014
Bloomberg April 2012 - December 2012
Bloomberg September 2007 - April 2012
Bloomberg (R&D) August 2004 - September 2007
Bloomberg LP January 2000 - August 2004
Royal Bank of Scotland (RBS) November 1998 - December 1999
Sandnes Sparebank August 1996 - June 1997
Skills
Trading Systems, Quantitative Analytics, Structured Products, Equity Derivatives, Foreign Exchange, Financial Markets, Matlab, Interest Rate..., Valuation, Electronic Trading, Risk Management, Banking, Equities, Hedging, Financial Modeling, Hedge Funds, Quantitative Finance, Analysis, Swaps, Investments, Market Data, FX Structured Product, Fixed Income, Financial Services, FX Options, Management, Financial Risk, Investment Banking, Commodity, Derivatives, Bloomberg Application..., Trading, Bloomberg Terminal, VBA, Options, Credit Derivatives, Finance, Capital Markets, Corporate Finance, Bloomberg, Portfolio Management