Brian May is the Vice President at Morgan Stanley, where they focus on credit risk data control. Previously, they served as a Senior Portfolio Monitoring Analyst at Bank of America, responsible for risk monitoring and reporting for the EMEA Hedge Fund Portfolio. Brian also worked as a Fixed Income & Derivatives Analyst at Capital Market Daily, producing reports and analyses on market trends. They earned an MSc in Investment Management from ICMA Centre and a BA in Accounting & Management from The University of Reading.
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