Andrew M.

Market & Financing Risk manager at Nomura

Hong Kong SAR

About

Experience

  • Market & Financing Risk manager at Nomura
    May 2020 - Present · 6 yrs 3 mos

    Market risk covering Credit Trading and Equity Products Financing risk covering Prime, Repo, and Structured Credit Electronic and Algo risk

  • Credit Suisse (3 yrs 6 mos)
    • Electronic Trading Risk Management
      Nov 2018 - May 2020 · 1 yr 7 mos

      Electronic trading risk manager across asset classes in APAC

    • Non Traded Market Risk APAC
      Dec 2016 - Dec 2018 · 2 yrs 1 mo

  • Head of Equity and Credit Trading Market Risk, APAC at Citi
    Oct 2011 - Oct 2016 · 5 yrs 1 mo

  • Risk Manager at Nomura Securities
    2010 - 2011 · 1 yr

  • Credit Suisse (London, United Kingdom)
    • Trading
      Mar 2007 - Mar 2009 · 2 yrs 1 mo

      Exotic single stocks. Corporate equity derivatives inc non-recourse margin loan and collar financing

    • Risk Manager,
      Oct 1999 - Mar 2007 · 7 yrs 6 mos