2023 -2025 CFO Business Partnering - Transformation @
2019 -2023 Finance Transformation @
2017 -2019 Group Cloud Adoption @
2015 -2017 Risk and Finance Data Transformation @
2012 -2015 Product Control Transformation @
2000 -2012 Equity Product Control @
1996 -2000 Associate - Product Control @
Mark Havard Education
University of Southampton
Economics (Business/Managerial )
1992-1995
Mark Havard Skills
Derivatives
Investment Banking
Equities
Product Control
Fixed Income
Banking
Capital Markets
Credit Derivatives
Equity Derivatives
FX Options
Financial Markets
Hedge Funds
Interest Rate Derivatives
Market Risk
Middle Office
Prime Brokerage
Risk Management
Structured Products
Swaps
Financial Risk
Accounting
Project Management
Product Development
Microsoft Excel
Mark Havard Summary
Mark Havard, is currently a Finance Transformation- Wealth Management at Standard Chartered. Mark Havard brings experience from previous roles at Barclays. Mark Havard holds a 1992 - 1995 Economics in Business/Managerial @ University of Southampton. With a robust skill set that includes Derivatives, Investment Banking, Equities, Product Control, Fixed Income and more. Mark Havard has 1 emails on RocketReach.
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