Conor has been active in the financial services sector since 2015. He has strong regulatory experience and possesses deep risk management knowledge across a variety of investment strategies. He has particular experience in the modelling of risk measures and evaluation techniques.
Prior to joining KB Associates, Conor was a Risk Manager at Fineco Asset Management where he was responsible for the programming and implementation of the Risk Management Policy across a variety of complex strategies. He also worked at Zurich as a quantitative analyst and trader and was tasked with managing the risk of the Group’s derivatives portfolio.
Conor has a Masters Degree (Hons) in Quantitative Finance from UCD’s Michael Smurfit Graduate Business School and is a certified Financial Risk Manager (FRM) by the Global Association of Risk Professionals.