Martin Campbell

Bis 2025, Executive Director, Risk Management, Mizuho EMEA, London
London, United Kingdom

Fähigkeiten und Kenntnisse

project management
team management
software development
asset management
fund management
fund administration
fund accounting
hedge funds
prime brokerage
OTC derivatives
risk management
market risk
credit risk
technology strategy
product management
Risk Management
Financial Risk Management
Market Risk
Credit Risk
Operational Risk
Liquidity Risk
Fixed Income
Equity
Derivatives
Change Management

Werdegang

Berufserfahrung von Martin Campbell

  • 11 months, Oct 2024 - Aug 2025

    Executive Director, Risk Management

    Mizuho EMEA, London

    Martin remotely managed the Mizuho risk team in Frankfurt, as well as advising and supporting the integration of risk processes and teams across the Frankfurt securities entity and the Amsterdam bank entity.Martin remotely managed the Mizuho risk team in Frankfurt, as well as advising and supporting the integration of risk processes and teams across the Frankfurt securities entity and the Amsterdam bank entity.

  • 5 years and 9 months, Jan 2019 - Sep 2024

    Executive Director, Head of Risk

    Mizuho Securities Europe

    Martin was Head of Risk for the Brexit investment banking subsidiary of Mizuho International, responsible for all aspects of risk and local risk regulation.Martin was Head of Risk for the Brexit investment banking subsidiary of Mizuho International, responsible for all aspects of risk and local risk regulation.

  • 4 years and 1 month, Dec 2014 - Dec 2018

    Director, Senior Business Analyst

    Mizuho International

    Martin is a senior business analyst on market risk, credit risk, and capital aggregation and reporting systems.

  • 1 year, Jan 2014 - Dec 2014

    Deputy Head of Risk Regulatory Implementation

    Royal Bank of Scotland

    Martin coordinated the remediation and closure of audit and regulatory issues linked to market and counterparty credit risk capital rules and reported progress to auditors and regulators.

  • 3 years and 3 months, Oct 2010 - Dec 2013

    Market Risk Business Analyst

    Royal Bank of Scotland

    Martin was a senior business analyst on the award-winning FOREST strategic stress testing solution across market risk, counterparty credit risk, prime brokerage and treasury liquidity, using a mixture of sensitivity-based and revaluation methods.

  • 1 year and 8 months, Mar 2009 - Oct 2010

    Project Manager/Business Analyst, Market Risk Systems

    HSBC

    Martin acted as a project manager and business analyst on the rollout of new strategic market risk VaR, stress and sensitivity calculation and aggregation engines and the demise of several local legacy market risk systems as part of a larger risk infrastructure renewal programme.

  • 1 year and 6 months, Jul 2007 - Dec 2008

    Director, Market Insights, Institutional Asset Management

    SunGard

    Martin was responsible for developing SunGard's product and technology strategy for Institutional Asset Management.

  • 1 year and 7 months, Jan 2006 - Jul 2007

    Managing Director, Prime Brokerage, Enterprise Solutions

    SunGard

    Martin co-ordinated product management of SunGard’s solutions for Prime Brokers across 15-20 key SunGard products, particularly cross-product margin and risk.

  • 1 year and 5 months, Sep 2004 - Jan 2006

    Director, Solutions Management, Global Accounts

    SunGard

    Martin designed, delivered and monitored solutions for SunGard’s largest global accounts in Europe, in collaboration with several SunGard business units.

  • 2 years and 3 months, Jul 2002 - Sep 2004

    Development Manager, Market Risk

    SunGard

    Martin managed a team of 15 business analysts, developers and testers working on SunGard’s flagship market risk product, Panorama (now Adaptiv 360).

  • 2 years and 4 months, Apr 2000 - Jul 2002

    Assistant Director, COO, Schroder Hedge Funds

    Schroder Investment Management

    Martin set up the risk management, operations and technology infrastructure for Schroders original range of hedge funds and fund of funds.

  • 4 years and 11 months, Jun 1995 - Apr 2000

    Assistant Director, Head of Group Risk Systems

    J. Henry Schroder & Co.

    Martin installed, extended and maintained global risk management systems and London-based derivative trading and risk management systems, including value at risk for capital adequacy and regulatory reporting.

  • 3 years and 7 months, Dec 1991 - Jun 1995

    Senior Analyst Programmer

    NatWest Markets

    Martin was involved in a number of key cross-product systems and projects including a value-at-risk based risk management system, a global reference database and a global analytics library.

  • 2 years and 4 months, Sep 1989 - Dec 1991

    Analyst Programmer

    Quidnunc

    Martin sold, designed, developed and supported a series of small to medium sized client-server database systems for large and small UK companies.

Ausbildung von Martin Campbell

  • 2 years and 9 months, Oct 1986 - Jun 1989

    Mathematics, Computer Science

    Queens’ College, Cambridge

  • 1 year and 10 months, Sep 1984 - Jun 1986

    Mathematics, Physics, Chemistry, German

    Widnes Sixth Form College

Sprachen

  • German

  • English

  • French

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