Dan Carter is a seasoned risk manager with extensive experience working alongside both buy-side and sell-side trading desks. They are currently a Senior Market Risk Manager at HSBC and previously held similar roles at Swiss Re and Barclays Capital, demonstrating expertise in analyzing and challenging trading activities while developing robust risk frameworks. Dan holds a Master’s degree in Mathematics from Cambridge University and is certified as a Financial Risk Manager by the Global Association of Risk Professionals. Throughout their career, Dan has proven their ability to navigate regulatory governance and effectively manage risk across various financial instruments.
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