Raphael Fernandes is a Senior Market Risk Manager at HSBC, a position held since 2020. Previously, they worked as a Global Market Risk Analyst and a Market Risk Analyst focusing on equity derivatives, alongside serving as a Senior Traded Risk Control Manager at HSBC from 2012 to 2014. Raphael earned a Bachelor of Applied Science in Applied Mathematics from the University of Paris I: Panthéon-Sorbonne and subsequently completed several advanced degrees, including a Master’s degree in Applied Mathematics and a Master 2 MMMEF in Mathematical Applications. Additionally, they hold a Postgraduate Degree in The Mechanics of Traded Risk from Middlesex University.
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