Mathias Krauss
About Mathias Krauss
Mathias Krauss is a Market Risk Manager specializing in Fixed Income at HSBC, where he has worked since 2014 in Paris, France. He holds a master's degree from emlyon business school and has a background in market risk control and management.
Work at HSBC
Mathias Krauss has been employed at HSBC since 2010, initially serving in various roles related to market risk. He completed a five-month internship in market risk management focused on structured rates in 2010. Following this, he worked in market risk control for four years until 2014. Since 2014, he has held the position of Market Risk Manager for Fixed Income, contributing to risk assessment and management strategies in Paris, Île-de-France, France.
Education and Expertise
Mathias Krauss studied at ENSEEIHT from 2006 to 2009, where he completed a three-year program. He furthered his education at emlyon business school, achieving a master's degree from 2009 to 2010. His academic background provides a solid foundation for his expertise in market risk management within the financial sector.
Background
Before his tenure at HSBC, Mathias Krauss gained experience through internships. He worked at Natixis as IT support for three months in 2009. This early exposure to the financial industry helped him develop skills relevant to his later roles in market risk management.
Professional Experience
Mathias Krauss has accumulated significant experience in market risk management over the years. His career at HSBC spans over a decade, with a focus on fixed income and risk control. His roles have involved analyzing market risks and implementing strategies to mitigate potential financial impacts.