Prashan has a uniquely balanced regulatory skillset, with which he has supported clients in areas of authorisation, compliance support, prudential requirements, and risk. He has overseen a multi-sector portfolio of regulated institutions operating in derivatives, fixed income, commodity, and cash equity markets. His compliance experience includes supporting the full scope of financial institutions; from corporate brokers and trading venues to SME banks and payment firms.
His prior consulting experience includes supporting international banks working at Ernst & Young’s Risk Advisory practice in NYC and working as a buy-side Equity Analyst at Moody’s Analytics.
As a Compliance Officer, Prashan has oversight of all FCA's regulatory obligations of Galaev & Co.
Cranfield School of Management - MBA
Louisiana State University - BSc. in Finance and Internal Audit