Paris Area, France
Head of Risk Control & Murex Ireland
Banking
Education
HEC School of Management 1996 — 2000
Msc, Business Administration & Finance
National University of Singapore 1999 — 1999
MBA exchange program (1 semester)
Lycee Hoche, Versailles 1987 — 1996
Baccalauréat (French A-levels) & Classes Préparatoires (college)
Experience
Murex January 2013 - Present
Murex January 2013 - Present
Murex January 2013 - Present
Murex January 2013 - Present
Murex SAS (Paris) January 2011 - January 2013
Murex Southeast Asia (Singapore) August 2002 - January 2011
Murex Australia (Sydney) February 2002 - July 2002
Murex Southeast Asia (Singapore) November 2000 - January 2002
Murex SA (Paris) April 2000 - October 2000
Associes en Finance (Paris) September 1998 - July 1999
Skills
Quantitative Analytics, Capital Markets, English to French, IT Solutions, Credit Risk, Exotic Derivatives, Enterprise Risk..., Project Management, Derivatives, CVA, Structured Products, Low Latency Trading, ALM, VAR, Rates, Risk Management..., Regulatory Capital, Go-to-market Strategy, Trading, Product Marketing, Trading System..., Equity Derivatives, Stress Testing, Quantitative Finance, Portfolio Risk, Risk Management Systems, Fixed Income, Strategic Planning, Credit Derivatives, Liquidity Risk, FVA, Financial Risk, Funding, Team Leadership, Collateral Management, Counterparty Risk, Monte Carlo Simulation, FX Options, CCP, Murex, Trading Systems, Interest Rate..., Market Risk, Risk Management, Thought Leadership, Basel II, Product Management, Basel III, IRC, Credit