Kevin has over 15 years’ experience in financial risk management strategy, derivative financial instruments valuations and hedge accounting. He works with corporate treasury functions operating in global financial and wholesale energy markets as well as financial service organisations, regulated utilities and large consumer businesses, industrial markets and mining groups.
He is experienced in treasury and financial risk management including the use of derivative hedging products to manage interest rate, FX, and commodity price risks in these sectors. Kevin has been involved in financial due diligence on derivative trading book and risk management strategies on various mergers and acquisition transactions in Australia.
Prior to joining KPMG, Kevin worked in the valuations team within the equity derivative trading division of an investment bank and a global professional services firm that provided assurance and advisory services to clients operating in energy and financial markets.