Blair has over 30 years experience in global financial institutions with extensive expertise and knowledge of insurance, portfolio management, capital markets trading and internal audit.
Expert knowledge of . Asset management for life, home & auto insurance portfolios . Policy frameworks for regulated financial institutions . Asset Liability Management . Balance Sheet Optimization . Interest rate risk hedging strategies . Interest rate risk sensitivity .Governance & Oversight
Blair also has extensive expertise in Internal Auditing: . All trading businesses, including fixed income, foreign exchange, equities, and structured products in Canada, U.S., United Kingdom, Australia, Japan, and Hong Kong . Capital Markets’ sales and trading businesses globally including GRM, operations and functions . Structured credit products . Structured interest rates, . Equities . Alternative assets . U.S. equity trading in opaque pink sheet and grey markets, . Trading for U.S. wealth management clients. . Annual audit planning . Continuous auditing