Daniel Martinez

Treasury Risk Market Specialist

Daniel Martinez, CFA, is a seasoned treasury risk market specialist currently working at Bloomberg since July 2023, assisting corporate treasuries in the US and Canada with interest rate and FX hedging programs. Previous experience includes roles at Kevala as a Treasury and Business Strategist, where Daniel developed cash flow management processes, and at Santander Bank as a Senior Trader leading a team in Mexican interest rate swaps. Daniel has an extensive background in interest rate and FX trading from positions held at Natixis CIB Americas, Crédit Agricole CIB, Enlace, and Grupo Financiero Banorte, where responsibilities ranged from managing derivatives to developing hedging strategies and liquidity management. Daniel holds a B.S. in Industrial Engineering from Tecnológico de Monterrey.

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