Investec
Jeff Gilmore is a seasoned finance professional with extensive experience in model and market risk analysis, currently working as a Model and Market Risk Analyst at Investec since April 2018. Previous roles include a Quantitative Analyst at Mizuho, where model validation efforts encompassed CVaR and operational risk, and Lead Financial Engineer at Markit, focusing on prototype development for regulatory capital calculation. Gilmore's foundational experience as a Mathematician at QuIC Financial Technologies, Inc. involved pricing model development and risk analysis. Educational credentials include a Master’s degree in Applied Mathematics from Simon Fraser University and a Bachelor's degree in Mathematics from Trinity Western University.
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