Mohammad Javid is a Senior Risk Manager at Market & Structural Risk with almost 15 years of experience in the banking sector. Starting as an entry-level analyst at Santander in 2010, they rose through the ranks by mastering various aspects of product control, market risk reporting, project management, and model risk management. Currently, they oversee daily validation and calibration of market risk data, manage multiple pricing models, and lead market data transformation projects. Mohammad's expertise includes financial systems such as Murex and Bloomberg, and they are dedicated to empowering employee talents and driving innovation within their organization.
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