Jill B. is a finance professional currently serving as a Treasury, Market and Liquidity Risk Manager at Abu Dhabi Commercial Bank since March 2022, focusing on counterparty risk analysis and limit monitoring. Previously, Jill worked as a Market Risk Analyst at Crédit Agricole CIB, where responsibilities included analyzing and monitoring market risks for treasury desks. Prior roles include serving as an Investment Control Analyst at Generali Investments, where Jill utilized analytical skills to manage investment risks, and as a Risk Analyst at BNP Paribas Wealth Management, specializing in compliance and trading reviews. Jill holds dual master's degrees in Management of Financial Instruments - Market Finance and Finance, Control, Audit from CY Cergy Paris Université and EDC Paris Business School, respectively, and a bachelor's degree in Management Science from ESG UQAM.
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