Anton Ganev is an independent consultant offering his expertise in listed/OTC derivatives and risk management to financial institutions looking to optimize capital resources (cost of capital reduction, collateral requirement optimization, …) or enhance their counterparty risk framework.

Anton Ganev has over 10 years’ experience within risk management, most recently with BNP Paribas as former Head of Derivatives Execution & Clearing Business Risk team where he was overseeing the first level of control framework and processes on client clearing activities. This includes counterparty risk and profitability analysis, term sheet negotiation, limit and stress test monitoring, reporting of key risk indicators, regulatory capital optimization and default management.