Amsterdam Area, Netherlands
Risk Professional
Capital Markets
Education
Queensland University of Technology 2002 — 2002
Master, Applied Finance
Queensland University of Technology 1992 — 1998
Double Major Accounting, Minor Finance, Risk Management, Portfolio Management
Experience
COMMERG B.V. October 2010 - Present
MA Buchanan & Associates 1999 - Present
ABN AMRO March 2011 - April 2014
Nidera Handelscompagnie BV September 2008 - March 2011
ABN AMRO May 2005 - August 2008
Ergon Energy Pty Limited 2000 - 2006
Westpac Banking Corporation 2004 - 2005
Commonwealth Bank of Australia 2004 - 2004
ENERTRADE 2000 - 2004
Nomura International PLC 2002 - 2003
Skills
Strategy, Equities, Credit Risk, Banking, Basel II, Financial Structuring, Options, Risk Management, Credit Derivatives, Fixed Income, Hedging, Project Finance, Due Diligence, Operational Risk, Financial Markets, Structured Products, Derivatives, Trading, Market Risk Management, Finance, Operational Risk..., Structured Finance, Liqudity Risk, Risk Analysis, Commodity, Capital Markets, Scenario Analysis, Credit, Economics, Financial Modeling, Capital Management, Market Risk, Analysis, FX Options, Enterprise Risk..., Portfolio Management, Corporate Finance, Emerging Markets, Trading Systems, Financial Services, Interest Rate..., Investment Banking, Treasury Management, Mergers & Acquisitions, Stress Testing, Valuation, Basel 3, Credit Risk Management, Financial Risk, Commodity Markets