London, England, United Kingdom
Trading Manager, Money Markets and FX at the Bank of England. Previously Senior Fixed Income Portfolio Manager for G10 rates, relative value trading strategies in Sovereign and SSA bonds, futures, and IRS. Prior experience as an analyst within the Bank of England's Markets directorate, working on conjunctural analysis of financial markets for MPC and FPC.
Money Markets and FX (spot/forward). Treasury Management. STIR portfolio manager
G10 rates portfolio manager. Relative value trading in sovereign and SSA bonds, futures, IRS, repo and money market products.