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Capital Markets Training Experts


We specialise in delivering capital markets training to global financial institutions by worldly renowned subject matter experts, authors and market practitioners.

 

Areas of expertise include, Fixed Income, Equity, FX, Credit, xVA, Treasury, Insurance, Fintech, Regulations, Forensic Accounting & ESG

Live Sessions

Delivered in-person & in real-time via MS Teams, Google Meet, or Zoom, based on your preference

Interactive Format

Engage with instructors in real-time, ensuring an interactive learning experience

Real World
Applications

 

Gain deeper insights through real case studies and hands-on workshops, enhancing practical knowledge

Most Popular Courses 2026

Our Experts

Dr. Beata Lubinska
Dr. Beata Lubinska is a financial engineer with over 20 years of practical experience gained on institutions such as GE Capital, Deloitte and Standard Chartered Bank based in Milan and London. Currently she leads the Treasury department at Allica Bank. In her previous position she was a Head of the Market and Liquidity Risk Department in MeDirect Group with the main focus on IRRBB, Market Risk and Balance Sheet Management.
Dr. Beata Lubinska
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Mike Pawley
Mike started his financial career at Price Waterhouse (now PwC), auditing banks derivatives usage. Mike has a degree in Banking and Finance (B.A Hons), a PhD in Monetary Economics, is the author of two finance textbooks, and used to be an examiner for the Association of Corporate Treasurers. He teaches a finance elective on the Masters in Finance at Cambridge University’s Judge Business School.
Mike Pawley
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Maxime de Bellefroid
Maxime is a multifaceted professional whose career is driven by an insatiable thirst for discoveries and challenges. He embarked on his professional journey as an Equity Derivatives Structurer, where he discovered his passion for structured products. During the rest of his career, Maxime has accumulated extensive experience in the field of derivatives and structured products, including developing proprietary indices and using derivatives to manage linear and non-linear risks for insurance companies and corporate clients.
Maxime de Bellefroid
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Salomon Sebbag
Salomon Sebbag has spent 30 years on trading floors, managing interest rate portfolios and teams of traders across G10 and Emerging Markets. He worked for JPMorgan for most of his career helping build a leading franchise for the bank. He has always been involved in training junior traders. He has also worked for Morgan Stanley as a Senior Trader and Advisor. In recent years, he has developed a lecturing activity. He teaches at the Cambridge Judge Business School and ESCP London, both of which have top-rated Master of Finance programs.
Salomon Sebbag
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Our Values

Customer Centric

Our primary focus is on meeting the unique needs and expectations of our customers, ensuring their satisfaction and success

Collaborative

We believe in fostering collaboration and partnerships, working closely with our clients to achieve shared goals and objectives

Competitive

We are committed to delivering high-quality training solutions that are competitive in the market, offering value and excellence to our clients

Cost Effective

We strive to provide cost-effective training options without compromising on quality, maximising the return on investment for our clients

Our Partners

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Francois J - Analyst

Cost effective solution for a quality inhouse training on capital markets!

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Vikram A - Treasury Head

Finex Learning’s team was highly responsive to our queries and demonstrated exceptional expertise in customising a cost-effective in-house training solution to our treasury department

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Alessandro P - Insurance Head

We had an amazing in-house training experience for our team with Finex Learning. The sessions were tailored to our specific needs, and the instructor made everything easy to understand, even for those new to the topics

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