Franklin Jacob Meimoun, FRM,
Founding Partner

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Mr. Meimoun started his carrier in Capital Markets in April 2001 and after 5 years working in Equity markets in several positions such as Proprietary Trader and Fund Manager, he joined the Treasury and ALM Department of HSBC Private Bank Suisse SA in August 2006.


There, Mr. Meimoun spent 5 years learning best practices in Asset Liability Management but also developed a deep knowledge in Fixed Income products and markets ending up being promoted to the position of Global Head of Balance Sheet Management Analytics.

Then, in 2011, Mr. Meimoun joined Union Bancaire Privée, UBP SA in the role of Head of ALM Portfolio and Deputy Head of ALM. In June 2012, he took over the position of Group Treasurer and became later on Head of Global Treasury & ALM and Senior Managing Director.

In this role, Mr. Meimoun had the responsibility of managing a CHF 16Bio balance sheet which reached CHF 32Bio nine years later following 5 consecutive acquisitions.

This global role covered many booking centers in many jurisidictions such as Switzerland, UK, Monaco, Bahamas, Jersey, Hong Kong and Singapore.

Mr. Meimoun had the responsibility of Net Interest Income generation through IRR, Liquidity, Funding, and ALM Portfolio Management and collaborated very closely with Finance and Risk Department on Capital Planning, FTP and Hedge Accounting topics to achieve an optimal Balance Sheet Management.

This resulted in outstanding results demonstrating to which extent the Balance Sheet was optimized: Best in class Tier1 Capital, Leverage Ratio, Liquidity Coverage Ratio and Net Stable Funding Ratio and finally the Aa2 Deposit rating granted by Moody's in January 2019.

Mr. Meimoun is holder of FRM (Finance Risk Manager) and member of the Global Association of Risk Professional (GARP). He also attended several IMD insight sessions around Digital Business Transformation, Rethinking country risk, and how to bring your breakthrough ideas to life. Mr. Meimoun holds a MBA in Finance and Trading at ESLSCA Paris.

 
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Achille Yomi, FRM, CQF
Managing Partner

Achille Yomi is Managing Partner at Talmis. Prior to this he was Executive Director and Head of Business Analytics and Insights of the IBOR Transition Programme at Standard Chartered. Mr. Yomi is an accomplished banking executive with an interdisciplinary background in wholesale banking, retail banking and treasury products. His key areas of expertise are risk management, financial modelling, data analytics and reporting.

Mr. Yomi is a passionate and self-motivated professional with over 15 years of experience in Risk and Finance with HSBC and Standard Chartered and others Financial Institutions. Mr. Yomi is highly skilled in PPNR Modeling, Balance Sheet, Capital and Liquidity forecasting, Risk Modeling (Credit, Market, Liquidity, Operational), Business Analytics and Data Management. Mr. Yomi has a track record of delivering regulators surveys (PRA/FCA, HKMA, MAS), Cost strategy, Data strategy, Governance, Assurance and Quality Control.

Mr. Yomi is holder of FRM (Finance Risk Manager) and member of the Global Association of Risk Professional (GARP), Certificate in Quantitative Finance (CQF) and member of the CQF Institute, Certification in Artificial Intelligence/Machine Learning: Business Strategies and Applications from UC Berkeley. Mr. Yomi also holds a Master degree in Mathematics, MSc of Management from EM Lyon Business school and MBA from East China University.