Webinar

Effective Treasury Digitization Management Strategies

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In the highly competitive landscape banks operate, it is vital systems are streamlined to cater to various client workflows and to serve your customers well beyond your branches. Join us in this session to find out how we can help you roll out new products efficiently and empower your digital platforms with structured product pricing and fixed income instruments.

Speakers

Jaafar Husain

Head of Liquidity and Market Risk

National Bank of Bahrain

Jaffar Hussain is the Head of Liquidity and Market Risk at the National Bank of Bahrain. He is a financial engineer with over 15 years of experience in the banking industry. Over the last few years he’s been focusing on building optimal technology architectures for treasury and risk management functions including facilitating the use of big data analytics, Cloud-based databases, and Machine-Learning algorithms.

Boris Grozev

Country Head

Bloomberg

Boris has been working for Bloomberg in various positions for the last 10 years across countries and geographies. As a part of his most recent role, with his team he is helping regional banks digitise and optimise their treasury and risk technology footprint.

Max Comparetti

Electronic Trading Sales Specialist

Bloomberg

Max Comparetti has been based in the Bloomberg office in Dubai since 2012 where he has focused on developing the Electronic Trading Franchise of Bloomberg in the Middle East and Africa.

Initially focused on the FX markets, he has then expanded his coverage to fixed income and equities, working on various projects with government agencies, sovereign wealth funds, hedge funds, banks and corporations.

Prior to that Max spent more than a decade in London working for Bloomberg in various roles, and over the last couple of years focusing on FX electronic trading in continental Europe.

Vijesh Peris

Middle East & Africa Treasury Market Specialist

Bloomberg

Vijesh is a Treasury market specialist at Bloomberg, covering Middle East & Africa. His area of focus & expertise include trading and risk management for cross asset solutions. Vijesh has been with Bloomberg since July 2018 prior to which he used to be a derivatives structurer and trader for almost 10 years with different institutions in the region.

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