London, Greater London, United Kingdom
OTC Collateral Management Analyst Structured Products at Morgan Stanley
Banking
Education
University of East London 2012 — 2013
Master of Science (MS), Financial Risk Managment, Distinction
University of Essex 2007 — 2011
Bachelor of Applied Science (BASc), Accounting and Finance, 2.2
Newham College Of Further Education 2005 — 2007
A-Levels, Business Studies, Computing, Chemistry, Advance Mathematics
DA Public School O & A Levels 1997 — 2005
O' Level, Economics
Experience
Morgan Stanley March 2015 - Present
Standard & Poor's August 2014 - March 2015
Credit Suisse April 2014 - July 2014
National Student Survey January 2014 - April 2014
Bloomberg LP April 2013 - April 2014
Barclays Wealth and Investment Management November 2012 - April 2013
KAMSZ Ltd January 2011 - October 2012
BP July 2010 - September 2010
HSBC June 2010 - July 2010
Skills
SAS, Leadership, Datastream, Fixed Income, Statistics, Financial Markets, Equities, Microsoft Excel, VBA, Management, Financial Analysis, Financial Services, Event Planning, Microsoft Office, Business Analysis, Credit Risk, Quantitative Research, Corporate Finance, Portfolio Management, Business Strategy, Derivatives, Bloomberg, Oracle E-Business Suite, Risk Analysis, SPSS, Strategy, Valuation, Structured Finance, Research, Relationship Management, CRM, Cross-functional Team..., Analysis, Risk Management, Financial Modeling, Economics, Investment Banking, E-Learning, Finance, Credit, Investments, Eviews, Data Analysis, Financial Risk, Public Speaking, Capital Markets, Bloomberg Terminal, BAT, Banking, SAP