Leila Khessairi started their work experience in 2005 at the National Bank of Canada as a Senior Analyst in Market Risk Management. Their role involved analyzing risk in hedge fund portfolios and they had extensive knowledge in international financial markets. Leila was proficient in risk management measures such as VaR and Greeks, and had a good understanding of equity, commodity, credit, interest rate, and foreign exchange derivatives. After their time at the National Bank of Canada, Leila joined Fidelity International in 2012 as a Senior Manager in Investment Risk & Performance Attribution. Leila held this role until 2016 when they started working at AfricInvest Group as Director of Middle Office.
Leila Khessairi earned a Master of Science (MSc) degree in Financial Economics from UQAM | Université du Québec à Montréal. Leila completed this degree by the end of 2005.
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