David Seare is an experienced professional in risk management and operations, currently serving as the Head of Risk Reporting and Collateral Management for SwapClear at LCH.Clearnet since April 2011. In this role, David oversees the development and management of risk and product control frameworks. Prior to this, David held significant positions at ASX, where the focus was on establishing risk control frameworks for Clearing Houses, and at MF Global, where client management and trading were prioritized. Additional experience includes roles at Deutsche Bank, Standard Chartered Bank, and LCH.Clearnet, emphasizing risk analysis, market monitoring, and project implementation. David holds an MBA with distinction from Imperial College London and a degree in Economics from Queen Mary University of London.
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