Stuart F.

Financial Risks Portfolio Manager at Liberty Specialty Markets

Stuart F. is a Financial Risks Portfolio Manager at Liberty Specialty Markets with extensive experience in the financial industry. Stuart has worked in various roles at reputable companies such as Goldman Sachs, Barclays, and Citi. Stuart is a graduate of London Business School with an MBA in Business and Finance, as well as a degree in Mathematics and Computer Science from UCL.

Links

Previous companies

UBS logo
Goldman Sachs logo
Citigroup logo
Nomura logo
Deutsche Bank logo

Timeline

  • Financial Risks Portfolio Manager

    February, 2021 - present

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