Martin Smith is an experienced finance professional with a background in options management, investment portfolio analytics, and corporate finance. Currently serving as Options Manager at Shaw and Partners Limited since May 2019, Martin oversees company option exposure, margining, and risk management, while also handling collateral management and trade-related escalations. Prior to this role, Martin held positions at JPMorgan Chase & Co. as Associate VP, focusing on investment portfolio analytics across various asset classes, and at Goldman Sachs as an Associate in Equities and Fixed Income. Early career experience includes roles as an Options Analyst at Shaw and Partners Limited, a Corporate Finance Analyst at Lloyds Banking Group, and a Trading Representative at CommSec. Martin holds a Master's degree in Business and a Bachelor's degree in Management from the University of Newcastle.
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