"Before you attempt to beat the odds, make sure you can survive the odds beating you"
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Natalia has over 18 years experience in financial industry. She started her career at an energy merchant, her assignments included working on infrastructure asset development in Latin America and North West Europe, structuring energy derivatives exotic products and marketing hedging solutions to corporate clients. Next Natalia worked for a UK major utility company in treasury and corporate risk, addressing issues from long term supply demand portfolio management to strategic asset acquisitions and corporate development.
Afterwards Natalia worked for UBS in market risk responsible for equity derivatives exotics business including commodity index products, hedge fund and mutual fund derivatives, ETFs, UCITS fund structures, volatility derivatives, hybrids, convertible bonds, environmental markets, commodity finance, islamic finance and proprietary systematic and discretionary trading strategies.
Subsequently Natalia joined JP Morgan in market risk for commodities and credit portfolio trading where she was responsible for portfolio oversight, stress testing, VaR methodology and addressing regulatory requests on managing market and liquidity risk. Post J.P. Morgan Natalia worked in private equity due diligence and as risk and regulatory consultant to proprietary trading desks, banks and asset managers.
Natalia has M.Sc. in Finance and Economics from LSE (financial engineering programme). She is IMC qualified and is a Chartered Alternative Investment Analyst.
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