London, United Kingdom
Risk Specialist at Prudential Regulation Authority
Banking
Education
University of Sunderland 2008 — 2012
Professional Doctorate, Internal Audit and Operational Risk Management
London Metropolitan University 2003 — 2005
Master of Business Administration (MBA), Business
The University of Manchester 1996 — 2002
BSc (Hons) Financial Services / ACIB, Business / Banking
TAFE 1984 — 1988
Banking Certificate, Banking
TAFE 1980 — 1984
Accountancy Certificate, Finance and Accounting
Experience
Bank of England, Prudential Regulation Authority March 2012 - Present
Royal Bank of Scotland September 2010 - March 2012
RBS January 2004 - September 2010
Royal Bank of Scotland Group July 1999 - November 2003
Bank of America June 1998 - June 1999
Lehman Brothers May 1996 - May 1997
Credit Suisse First Boston March 1993 - April 1996
Security Pacific Bank August 1989 - February 1993
Skills
Basel II, Capital Markets, Enterprise Risk..., Derivatives, FX Options, AML, Swaps, KYC, Credit Derivatives, Equity Derivatives, Operational Risk..., Back Office, Market Risk, Treasury, Financial Risk, Operations Management, Financial Services, Banking, Structured Finance, Settlement, Financial Regulation, Retail Banking, Stress Testing, Credit Risk, ISDA, Operational Risk, Commercial Banking, Risk Management, Research, Auditing, Risk Analysis, Internal Controls, Fixed Income, Interest Rate..., Liquidity Management, Internal Audit, Financial Markets, Basel III, Treasury Management, Middle Office, Money Market, Liquidity Risk, Financial Institutions, Risk, Structured Products, Investment Banking, ALM, Solvency II