Gary Raphael Harboun is a Securities Financing Risk Manager and Director at HSBC, with a focus on managing market risk analysis and regulatory compliance. They previously served as an Associate Director at HSBC, where they led teams in implementing new regulatory requirements and overseeing FX and BSM asset classes. Gary has also worked as an IRD Exotics Risk Analyst at Credit Agricole CIB and contributed to mobile application development at RedShift. Gary holds a Master of Science in Finance and Mathematical Finance from Université Bordeaux IV and a Master of Engineering in Computer Science and Finance from ENSEIRB-MATMECA.
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