Stephan Meili is a Managing Director at Citi leading the Convergence Risk effort for the investment and corporate bank. Previously, he was Global Head of Market Risk for Securitized Products Trading and Municipal Derivatives at Barclays. Stephan has 20+ years of financial markets experience in Europe, US and Asia ranging from risk management (market, credit and operational risk) and asset management to quantitative modeling for investment banks, asset managers and consulting firms. Furthermore, he has been representing banks at industry forums and conferences on financial regulation. He holds a MS in Finance from Northwestern University and a degree in economics and business administration from the University of Basel, Switzerland. He is also a CFA, FRM and CAIA charterholder.