Fernando Páez González, G10 FX Strategy Senior Analyst. He previously worked in BBVA as an economist in the Global Macroeconomic Scenarios team in BBVA Research in 2020-2021. Prior to the current role, he has spent his career in hedging advisory and derivatives’ valuation and compliance in the Corporate Treasury Advisory team in Deloitte.
Fernando holds a BSc degree in Economics and a BSc in Marketing from Universidad de Murcia. He has also completed a Master in Finance at Universidad Carlos III de Madrid.