Christopher Carreiro
About Christopher Carreiro
Christopher Carreiro is a Middle Office Associate at Laurion Capital Management LP in New York, where he has worked since 2021. He has previous experience in economic analysis and fund accounting, having held various roles at The William C. Dunkelberg Owl Fund and SEI.
Current Role at Laurion Capital Management
Christopher Carreiro has been serving as a Middle Office Associate at Laurion Capital Management LP since 2021. In this role, he is responsible for supporting the operational functions of the firm, contributing to the efficiency and effectiveness of the middle office processes. His position involves coordinating between various departments to ensure seamless operations and accurate reporting.
Previous Experience at The William C. Dunkelberg Owl Fund
In 2017, Christopher Carreiro held multiple roles at The William C. Dunkelberg Owl Fund. He worked as Director of Economic Analysis for four months, where he focused on analyzing economic data. Additionally, he served as an Associate Economic Analyst and as a Summer Portfolio Manager during the same year, gaining experience in economic analysis and portfolio management.
Internship at Bureau of Labor Statistics
Christopher Carreiro completed a three-month internship at the Bureau of Labor Statistics in 2017. This role provided him with valuable insights into labor market data and economic indicators, enhancing his analytical skills and understanding of economic trends.
Education and Academic Background
Christopher Carreiro studied at Downingtown STEM Academy from 2011 to 2014, where he completed his high school education. He then attended Temple University from 2014 to 2018, earning a Bachelor’s Degree with a major in Finance and a minor in Economics. His academic background has equipped him with a strong foundation in financial principles and economic analysis.
Experience as Fund Accountant at SEI
From 2018 to 2020, Christopher Carreiro worked as a Fund Accountant at SEI in Oaks, Pennsylvania. In this position, he was responsible for managing financial records and ensuring the accuracy of fund accounting processes. This role contributed to his expertise in financial operations and reporting.