Clinton Guelfi

Derivatives Manager at MLC Asset Management
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Contact Information
us****@****om
(386) 825-5501
Location
Sydney, New South Wales, Australia, AU

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Marcus Pearl

Clinton is a highly experienced risk management expert with a unique ability to manage and drive performance in teams. His experience across FX, Interest Rates and Commodities with customers on both the asset and liability side of the market is unparalleled amongst his peers. He's always focused on the needs of his customers with a laser like attention to detail.

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Credentials

  • Capital Markets and Financial Advisory Services (CMFAS Module 6A)
    The Institute of Banking & Finance
  • Financial Markets Regulatory & Practices (FMRP)
    The Institute of Banking & Finance
  • Rules and Regulations for Dealing in Securities (CMFAS Module 1B)
    The Institute of Banking & Finance
  • Securities and Futures Intermediaries
    Hong Kong Securities and Investment Institute

Experience

    • Australia
    • Investment Management
    • 100 - 200 Employee
    • Derivatives Manager
      • Nov 2014 - Present

      Provide derivative overlay and currency overlay strategies across broader MLC portfolios to achieve the portfolio managers desired risk/reward profile. Provide derivative overlay and currency overlay strategies across broader MLC portfolios to achieve the portfolio managers desired risk/reward profile.

    • Germany
    • Financial Services
    • 700 & Above Employee
    • Director, Macro Structuring
      • Jul 2010 - Apr 2014

      Advise corporate, institutional and private equity clients on financial market risk management, with an emphasis on foreign exchange and interest rate risks. Advise corporate, institutional and private equity clients on financial market risk management, with an emphasis on foreign exchange and interest rate risks.

    • Australia
    • Banking
    • 700 & Above Employee
    • Director, Client Solutions, Asia
      • Apr 2006 - Jun 2010

      Working closely with the markets sales teams, internal product and relationship partners to deliver financial market solutions to both external and internal clients.

    • Director, Consultative Risk Management
      • Jun 2003 - Apr 2006

      A client facing role that involved client consultation to ascertain the existing and desired financial market risk profile and how this could be achieved via the execution of foreign exchange, interest rate and/or commodity based derivatives.

    • FX Product Specialist
      • Jun 1999 - Jun 2003

      Specialist role within ANZ with responsibilities to increase the turnover and yield of foreign currency derivatives, across Australia.

    • Institutional Sales
      • Nov 1998 - Jun 1999

      This desk was responsible for managing foreign exchange relationships with ANZ's top tier client base.

    • Foreign Exchange Dealer
      • Feb 1996 - Nov 1998

      Responsibility to meet the needs of a broad range of foreign exchange clients within the state of Western Australia.

Education

  • Macquarie Graduate School of Management
    Graduate Diploma, Management
    2005 - 2007
  • The University of Western Australia
    Bachelor, Economics
    1992 - 1996

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