Vladimir Caillé is an Associate Director in Financial Resource Management at HSBC, where they specialize in CCR and MR RWA, liquidity, and collateral optimization. They previously gained experience as an Xva margin management and Xva trader at Societe Generale Corporate and Investment Banking, and also interned as a stock-lending trader and exotic trader at Natixis and BNP Paribas, respectively. Vladimir holds multiple master's degrees from Université Paris Dauphine and ESLSCA, reflecting a strong foundation in financial markets and applied mathematics.
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