London, United Kingdom
Fixed Income Trader at GIC
Investment Management
Education
Institute of Chartered Accountants in England and Wales 1998 — 2002
ACA Qualified Accountant, Accountancy
Aston University 1996 — 2000
BSc (Hons) Accountancy & Management, Accountancy, Management, 2:1
Experience
GIC 2013 - Present
Citi 2010 - 2012
Old Lane 2007 - 2010
Morgan Stanley 2004 - 2007
UBS Investment Bank 2003 - 2004
KPMG 2000 - 2002
Skills
Special Situations..., Market Risk, High Yield Bonds, Leveraged Finance, Cashflow Modelling, Distressed Debt Analyst, High yield Trading, Event Driven, Relative Value Credit, Portfolio Management, Analysis, Leveraged Loans, Distressed Debt, Hedge Funds, Relative Value Trading, Credit Derivatives, High Yield Analyst, Senior Secured, Special Situations, Investment Grade, Proprietary Trading, Loans, Mezzanine, Investment Management, Capital Markets, High Yield, CDS, VBA, Principal Investing, Banking, Derivatives, Trading Strategies, Fixed Income, Relative Value, Credit Default Swap, FX Options, Trading, Value Investing, ACA Chartered Accountant, Credit Analysis, Fundamental Analysis, Debt Restructuring, FSA Registered, Investments, Portfolio Manager, Credit Analyst, 2nd Lien, Risk Management