Myriam Faouzi

Market Risk - Director at BancTrust & Co.

Myriam Faouzi has a strong background in market risk, with their most recent role as a Market Risk - Director at BancTrust & Co. starting in 2023. Prior to that, they worked at VTB Capital Plc from 2011 to 2022, where they implemented a market risk control framework for the company's commodities trading house in Switzerland and defined risk limits. Before that, Faouzi held the position of Risk Manager - Structured Products / Alternative Assets at Natixis from 2007 to 2010, where they were responsible for risk analysis, monitoring, and reporting. Myriam also worked as a Structured Finance Analyst at IXIS CIB from 2006 to 2007, where they performed analysis and monitoring of risky loans. Faouzi started their career as a Market Risk Analyst at CDC Marches from 2000 to 2006, where they were responsible for daily production of VaR, stress tests, and P&L calculation.

Myriam Faouzi obtained a Post Graduate Diploma in Quantitative Methods & Economics from the University of Paris I: Panthéon-Sorbonne from 1996 to 1999. Myriam also earned a CFA Charterholder from the CFA Institute, which was held between 2012 and 2014.

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London, United Kingdom

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BancTrust & Co.

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BancTrust & Co. is a boutique emerging markets investment bank that focuses on providing structured financial solutions for a select client base made up of corporates operating in high Beta credit markets, asset managers investing in LatAm high yield credit, financial institutions, and government entities.


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51-200

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