LONDON - NEW YORK - WROCLAW - SINGAPORE

Mark Doran

Business experience
Prior to leaving school, Mark joined a well known Stockbroker. He then worked in the Securities Operations Department of Bank Montreal in London before then joining the Trading Room. A move to HSBC Group a year later resulted in him gaining experience on the FX, bond and derivative desks. He also spent time as a Senior Trader on the Proprietary Trading Desk. In these years he built up his knowledge of Financial Markets and their inner workings.

Training history
Mark has been teaching Financial Markets training courses throughout Europe, Asia, North America and the Middle East since 2000. Courses have often been tailored to specific client requirements and regional needs, however, he also delivers generic and graduate training. His course range includes:
Capital Markets, Treasury, Derivatives, Fund Management: all from a Market, Product, Operations and Risk Management Perspective. As well as more specialised topics such as Selling Derivative Solutions to Corporates, Derivatives in Fund Management, The Impact of UCITS and AIFMD, Counterparty Risk in Derivatives, and Risk Management.

Mark has extensive experience delivering technically advanced training to all levels of audience throughout Europe, Asia, the Middle East and North America. He has designed and run courses for Multinational Banks as well as Local and Central Banks. He has also trained for Fund Management Companies, Hedge Funds and Corporates. His training has taken the form of class room, webinars, and on line course delivery. Mark’s strength is his ability to make even the most complex of topics, understandable and easy to learn. This, along with his highly interactive approach, has resulted in consistently good feedback from learning and development clients.

Partners & Accreditations