Barrie joined Oliver Wyman in 1993 and is one of the firms leading experts in risk management. He previously headed up our risk management work for investment banks in EMEA covering topics such as market risk, counterparty risk, liquidity risk and capital management. He has led major risk management programs for many of the world's leading investment banks spanning a broad set of themes across methodology, processes, organization and governance. He has most recently been helping his wholesale clients to address the weaknesses in their trading risk and treasury risk management approaches in light of the failings highlighted during the financial crisis.
Barrie graduated with an MA in Engineering from Cambridge University in 1993 before joining Oliver Wyman.