Head of Quant & Risk Management Practice & Regulatory Consultancy Services at DBFS
Twickenham, United Kingdom
Since 1996, DBFS have been providing, Advice, Delivery and Recruitment services to companies in the financial markets. Working with our clients, we have evolved our offering to provide an efficient, focused model that aligns with our clients’ requirements of speed to market, flexibility, quality and added value. The model delivers benefits greater than the sum of its...
Since 1996, DBFS have been providing, Advice, Delivery and Recruitment services to companies in the financial markets. Working with our clients, we have evolved our offering to provide an efficient, focused model that aligns with our clients’ requirements of speed to market, flexibility, quality and added value. The model delivers benefits greater than the sum of its parts, allowing our clients’ to pick the type and level of service offering they require, at any given point in time. Specialties: Investment Operations, Investment Management, Risk Management, Regulatory Change, Compliance, Change Management, Vendor Products & Development Technologies.Head of Quant & Risk Management Practice & Regulatory Consultancy Services @ Expertise: Market Risk Management Quantitative Risk Management Investment Risk Management Credit Risk Management Operational Risk Management High Frequency Risk Management Provide Advisory & Delivery Consultancy within Regulatory Change: Regulations: MiFIR, MiFID, MiFID II, EMIR Reporting, FATCA, Dodd-Frank Expertise: Business Analysis and Project Management Client Base: Hedge Funds Asset Management Investment Banking High Frequency Trading Contact Details: [email protected] Direct Dial: 0207-332-9807 From March 2014 to Present (1 year 10 months) London, United KingdomHead of Risk Management Practice @ Our Risk Practice specialises in delivering the best of breed Risk Management Professionals globally across both buy and sell side financial institutions. The Risk team specialises in providing our clients, primarily Asset Managers, Hedge Funds & Investment Banks, with the best global risk candidates from Analyst to Board level. The Risk Practice's key areas of specialism are: Quantitative Risk Management Market Risk Management Investment Risk Management Credit Risk Management Operational Risk Management Counterparty Risk Analysis Performance Measurement & Attribution From December 2010 to January 2014 (3 years 2 months) Risk Management & Portfolio Analytics Investment Management Consultant @ I worked as the lead consultant within Project Partners Investment Management space providing our clients with junior to senior level management professionals within the Risk Management & Portfolio Analytics space, based London. The key areas of specialism were Performance Attribution Analysts, Risk Analysts, Quantitative Risk Researchers & Heads of Investment Risk & Performance. From June 2008 to November 2010 (2 years 6 months) International Business Director @ From 2007 to 2008 (1 year) BA Degree, International Business & Spanish @ Manchester Business School From 2004 to 2008 Hampton School Raj Deu is skilled in: Market Risk, Investment Risk, Quantitative Risk, Credit Risk, Portfolio Risk, Operational Risk, Performance Analysis, Performance Attribution, Quantitative Analysis, Quantitative Research, Counterparty Risk, Financial Risk, Quantitative Analytics
DBFS
Head of Quant & Risk Management Practice & Regulatory Consultancy Services
March 2014 to Present
London, United Kingdom
NJF Group
Head of Risk Management Practice
December 2010 to January 2014
Project Partners
Risk Management & Portfolio Analytics Investment Management Consultant
June 2008 to November 2010
Guidion
International Business Director
2007 to 2008
Expertise: Market Risk Management Quantitative Risk Management Investment Risk Management Credit Risk Management Operational Risk Management High Frequency Risk Management Provide Advisory & Delivery Consultancy within Regulatory Change: Regulations: MiFIR, MiFID, MiFID II, EMIR Reporting, FATCA, Dodd-Frank Expertise: Business Analysis and Project Management Client Base: Hedge Funds Asset Management Investment Banking High Frequency Trading Contact Details: [email protected] Expertise: Market Risk Management Quantitative Risk Management Investment Risk Management Credit Risk Management Operational Risk Management High Frequency Risk Management Provide Advisory & Delivery Consultancy within Regulatory Change: Regulations: MiFIR, MiFID, MiFID II, EMIR Reporting, FATCA, Dodd-Frank Expertise: Business Analysis and Project Management Client Base: Hedge Funds Asset Management Investment Banking High Frequency Trading Contact Details: [email protected] Direct Dial: 0207-332-9807
What company does Raj Deu work for?
Raj Deu works for DBFS
What is Raj Deu's role at DBFS?
Raj Deu is Head of Quant & Risk Management Practice & Regulatory Consultancy Services
What industry does Raj Deu work in?
Raj Deu works in the Financial Services industry.
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