Michael Thomas has extensive experience in risk management within the finance sector, currently serving in a risk role at Capula Investment Management LLP since January 2023. Prior to this, Michael held multiple positions at Deutsche Bank from May 2017 to January 2023, focusing on rates market risk and portfolio market risk with responsibilities in cross-asset risk management. At Credit Suisse, from June 2015 to April 2017, Michael specialized in portfolio market risk management, dealing with various risk methodologies and regulatory requirements. A Vice President in Treasury Market Risk at Barclays Investment Bank from January 2012 to June 2015, Michael's expertise included managing treasury and liquidity risks. Earlier experience includes a position as Risk Manager at Barclays Bank and a role as Product Analyst within the Global Assets & Liabilities division. Michael holds a First Class BSc (Hons) in Mathematics (Pure) from the University of Southampton and A-Levels from Southend High School for Boys.
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