Vice President and Head of Financial Risk Analytics, S&P Global Market IntelligenceMark is vice president and head of financial risk analytics, S&P Global Market Intelligence and has over 25 years of experience in global markets,consulting and financial risk solutions services for asset managers and tier one banks.
He is the Global Head of S&P Global's (now part of S&P Global) Financial Risk Analytics business which provides award winning products and solutions to financial institutions to measure and manage their counterparty credit risk, market risk, regulatory risk capital, derivative valuation adjustments as well as custom on demand risk services. Using the latest analytics and technology such as a fully vectorized pricing library, Machine Learning and a Big Data stack for scalability, the products and solutions are also available in the cloud and are used by the largest tier-one banks to smaller niche firms.
Prior to joining S&P Global, Mark worked as a Partner at TLG, a specialist risk management consultancy in London. Previously, Mark held Chief Operating Officer positions in financial markets trading and quantitative risk management roles at ABN AMRO, UBS and Bank of America Merrill Lynch. He was also the Capital Management Program Director of global markets at HSBC.
Mark holds an MBA from CASS Business School, University of London, UK.
- Financial Services
- Financial Risk
- Alternative Data
- Artificial Intelligence (AI)
- Credit Risk
- Credit Valuation Adjustment (CVA)
- Financial Benchmarks
- Financial Model Validation
- Financial Risk Analytics
- Financial Risk Assessment
- Financial Trading
- Fundamental Review of the Trading Book (FRTB)
- Secured Overnight Financing Rate (SOFR)
- SR 11-7