Brussels, Brussels Region, Belgium
Experienced Financial Risk Manager and treasury expert with a demonstrated history of working in the Investments arm and 15+ years of experience in group treasury within the retail industry. Skilled in Financial Risk Analysis, Foreign Exchange (FX) and Interest Rates Trading, Liquidity & Cash Management, Payments, Controlling and Back-Office Operations.
FX Risk Management in Corporate Treasury - Strategy & Practice
Monitor and assess the financial risks across diversified portfolios within the Group’s investment arm.
Dedicated session on “FX Strategy & Execution in Corporate Treasury” delivered during the Strategic International Finance Bootcamp for Master’s students. Invited back for 2026 class.
Managed the group FX exposure (G10 & EM), ensuring compliance with treasury regulations. Reviewed and updated treasury and Financial Market Investment portfolio contracts to support risk control and operational integrity.
Session on “FX Risk & Liquidity Risk in Corporate Treasury.