Julien Darcel
About Julien Darcel
Julien Darcel is a Risk Manager at Banque Lombard Odier & Cie Sa in Geneva, Switzerland, where he has worked since 2014. He has extensive experience in financial risk management across European hubs, including roles at BNP Paribas and Société Générale Private Banking.
Work at Banque Lombard Odier
Julien Darcel has served as a Risk Manager at Banque Lombard Odier & Cie Sa since 2014. His tenure spans ten years in Geneva, Switzerland. During this time, he has contributed to the bank's risk management strategies, particularly amidst significant global financial changes. Prior to his current role, he worked as an Investment Proposals Analyst at the same institution for four months in 2014, where he gained insights into investment strategies and client needs. His experience at Lombard Odier includes fostering long-term client relationships by utilizing the bank's independent family business model.
Previous Experience in Financial Services
Julien Darcel has a diverse background in financial services, having worked in various roles across prominent institutions. He was a Market Risk Analyst at BNP Paribas from 2009 to 2010 in Paris, where he focused on market risk assessment. He also held the position of Business Control Manager at Société Générale Private Banking for five months in 2014. Earlier in his career, he worked as an Assistant Trader at BNP Paribas for six months in 2008. Additionally, he gained experience as a Consultant at SDG Group in Italy for four months in 2007.
Education and Expertise
Julien Darcel studied Finance at Emlyon Business School from 2008 to 2009. His academic background provides a solid foundation for his professional roles in risk management and financial analysis. His expertise encompasses cross-border financial risk management strategies, developed through his experience in European financial hubs, including Geneva and Paris. This educational and professional combination equips him with the skills necessary to navigate complex financial environments.
Background in Financial Risk Management
Julien Darcel has built a career focused on financial risk management, particularly in European markets. His experience includes working in both Geneva and Paris, which has enhanced his understanding of cross-border financial dynamics. His roles have involved assessing and managing risks associated with market fluctuations and investment strategies. His contributions to Banque Lombard Odier reflect a commitment to maintaining robust risk management practices during a period of significant global financial changes.