Terence B.

Senior Traded Risk Analytics Manager

Terence B. is currently a Senior Traded Risk Analytics Manager at HSBC, where they focus on model risk management and regulatory applications. They previously held positions such as Vice President of Collateral Evaluation at Barclays Wealth and Investment Management and Associate Director of Quantitative Risk Management at VTB Capital. Terence began their career at HSBC as a Quantitative Analyst before progressing to roles involving counterparty credit risk and traded credit analytics. They hold a Bachelor's degree in Mathematics and Computer Science from Brunel University London, a Master's in Financial Mathematics from Birkbeck, and an MBA from the Smartly School of Business, along with a Master's in Financial Strategy from the University of Oxford.

Location

Hong Kong, Hong Kong

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