Javier Fariñas has more than 20 years of experience in financial services.

He specializes in Risk Management and Compliance processes of banking and parabanking business models. Highlighted projects include risk management optimisation framework, the design and evaluation of qualitative and quantitative measurement models, as well as the transformation of the function of the Financial Management for large corporations.

Javier Fariñas holds a degree in Economics and Business Studies from the Universidad Complutense de Madrid and a Master’s Degree in Financial Instruments Management from SFA-London.