London, United Kingdom
Senior Risk Manager at Arbuthnot Latham
Investment Banking
Education
The Chartered Institute of Management Accountants 2006 — 2009
Aston University 2002 — 2006
BSc Managerial & Administrative Studies, Financial Management, Strategic Management, Leadership, Advanced Financial Accounting.
Experience
Arbuthnot Latham May 2013 - Present
Deutsche Bank April 2009 - April 2013
Affinia Group - Quinton Hazell Automotive April 2008 - April 2009
Affinia November 2006 - April 2008
EON UK September 2005 - October 2005
E.ON June 2004 - September 2005
Skills
Fixed Income, Financial Services, Wealth Management, Assurance, Credit Derivatives, Basel II, Portfolio Management, Operational Risk..., Cost Accounting, Business Continuity, Hedge Funds, Investment Banking, Corporate Governance, Sarbanes-Oxley, Private Banking, Auditing, Internal Controls, Quality Assurance, Capital Markets, Project Finance, Credit Risk, Equities, IFRS, Financial Audits, Enterprise Risk..., Investment Management, Market Risk, Business Analysis, Management, Financial Markets, Valuation, Sarbanes-Oxley Act, Operational Risk, Internal Audit, Forecasting, Risk Management, Finance, Derivatives, Banking, Equity Derivatives, Financial Risk, Financial Controlling, Management Accounting, Corporate Finance, Financial Modeling, Due Diligence, Financial Analysis, Financial Reporting, Accounting, MIS