Vijay joined GCI in 2019 as a Portfolio Analyst, he is responsible for maintaining and developing GCI’s portfolio applications which include portfolio models, attribution systems, analytics and risk models.
Vijay has more than 5 years’ experience in Long Term Funding within Treasury, including RMBS Securitisation, ABS Securitisation and Covered Bonds. Before joining GCI, Vijay spent 1 year at the Bank of Queensland as a Market Risk Analyst in the firm’s Non-Traded Market Risk team. Prior to this Vijay worked at Bank of Queensland as a Senior Securitisation Analyst in the Treasury team.
Vijay holds a Bachelor of Commerce from Griffith University.