Nick Jeffryes
About Nick Jeffryes
Nick Jeffryes is the Head of Market and Liquidity Risk for Europe and Asia at CIBC, managing global risk for FX, FX options, and STIRT trading books.
Title
Nick Jeffryes holds the position of Head Of Market And Liquidity Risk, Europe And Asia at CIBC. In this role, he is responsible for managing and overseeing global risk management for FX, FX options, and STIRT trading books. His responsibilities include leading a team of 5 risk managers and overseeing risk management for around 40 traders worldwide.
Company
Nick Jeffryes is currently employed at CIBC. Based in London, England, he has held the position of Head Of Market And Liquidity Risk, Europe And Asia since 2017.
Previous Experience
Before joining CIBC, Nick Jeffryes worked at BlueCrest Capital Management as a Senior Risk Manager from 2011 to 2017. Prior to that role, he served as Director at Barclays Investment Bank from 2003 to 2009. His earlier career includes a position as Executive Director at UBS from 1998 to 2003.
Education and Expertise
Nick Jeffryes earned his Master’s Degree in Mathematics from the University of Oxford, where he studied from 1995 to 1998. His educational background establishes him as an expert in mathematical and analytical approaches to market and liquidity risk management.