I am a financial risk specialist with extensive experience in quantitative risk management for investment funds. My main areas of expertise reside in financial risk modelling (market risk, credit risk, liquidity risk), Investment Funds risk management, quantitative finance, statistics and econometrics. As a former Big4 consultant, I always aim for high standards of delivery, be it in quality or timeliness. I hold a M Sc in quantitative finance and an engineer diploma in applied mathematics. I am also a Chartered Alternative Investment Analyst (CAIA).