Our People

MFO Team

Sergey Goryunov

Vice President, Family Office Geneva

Sergey works in the Quantitative strategies team at Broadgate Advisers. He has 11 years of professional experience in Market Risk and Credit Risk Management, Market Risk Reporting and Asset Management covering all of the major liquid asset classes.

 

Prior to joining Broadgate he worked for 10 years in investment banking in London. In his latest job at Mizuho Bank as a Market Risk Manager he was a member of the CEO’s Strategic Risk Forum, Market Risk, Asset-Liability and Credit Risk Management Committees. Before that he worked at Barclays Bank as a Counterparty Credit Risk Manager where he performed Bank of England and EBA (European Banking Authority) stress tests and leased with the Sales teams on trade haircuts. He also worked as a Prime Services and as an Equities Risk Manager where he managed an RWA saving project for the Fixed Income Financing trading desk.

 

Sergey holds a Master’s degree in Theoretical Physics from Imperial College London. He is also a CFA Charterholder, a certified FRM (Financial Risk Manager), completed the MIT Data Science program and has a Grade 8 Piano certificate.

Ziad Debbas

Senior Director | MENA Coverage

Bernard Renaud

Director, Head of Quantitative Strategies

Jad Karam

Director, Family Office Geneva