Younes Mailouch

Younes Mailouch

Market Risks Controler Rates And Derivatives @ HSBC

About Younes Mailouch

Younes Mailouch is a Market Risks Controller specializing in Rates and Derivatives at HSBC, where he has worked since 2013. He previously completed a six-month internship in Market Risks Control at HSBC and holds a finance degree from Neoma Business School.

Work at HSBC

Younes Mailouch has been employed at HSBC since 2013, where he holds the position of Market Risks Controller specializing in Rates and Derivatives. His role involves managing and analyzing market risks associated with financial instruments, ensuring compliance with regulatory standards, and contributing to the overall risk management framework of the organization. Prior to this, he completed a six-month internship at HSBC as a Market Risks Controller from 2012 to 2013 in London. This experience provided him with foundational knowledge and skills in market risk assessment and control.

Education and Expertise

Younes Mailouch studied Finance at Neoma Business School from 2011 to 2012. His education equipped him with essential financial principles and analytical skills relevant to his current role in market risk management. The curriculum at Neoma Business School is designed to prepare students for careers in finance, emphasizing both theoretical knowledge and practical application in various financial sectors.

Background

Younes Mailouch has a professional background in market risk management, specifically focusing on rates and derivatives. His career at HSBC spans over a decade, reflecting his commitment to the field and his ability to navigate the complexities of market risks. His experience in both internship and full-time roles has allowed him to develop a comprehensive understanding of risk control processes within a major financial institution.

Professional Experience

Younes Mailouch's professional experience includes significant tenure at HSBC, where he has progressed from an intern to a Market Risks Controller. His current responsibilities involve overseeing market risks related to rates and derivatives, which are critical components of financial markets. His role requires continuous monitoring of market conditions and the implementation of risk mitigation strategies.

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