Julien Haye joined Fidelity International (FIL) in July 2017 as Head of Non-Financial Risk in London and has over twenty years’ experience in the Financial industry.
In his current role, Julien partners with FIL’s top management and Board, leveraging risk insights to improve the firm’s operating model efficiency and product offering through effective risk management and culture, and to continuously improve the firm’s client outcome and journey. Julien joined Fidelity from DWS, where his role was Global Conduct Officer and UK Chief Risk Officer. He joined Deutsche Bank in 2012 where he held various positions in Risk Oversight and ICAAP, before joining the 3 Lines of Defense Programme as Risk & Control Assessment Lead.
In addition to his work with Deutsche Bank, Julien has worked for several financial services institutions in Treasury, Risk, Capital Management, Programme Management and Trading. Julien is passionate about people, art and design. For many years he has lead the LGBT diversity and inclusion agenda at the firms he worked for, mentoring young professionals and entrepreneurs to help them to reach their potential and supporting non-profit organisations. Julien leads the Global LGBT inclusion strategy for FIL working closely with senior management and the HR team to nurture FIL’s inclusive and diverse culture.
Having worked in less inclusive environments Julien recognises the importance of promoting the benefits of a diverse workforce therefore creating an environment where everyone can be themselves and to be a role model for LGBT colleagues. Julien has an MBA and is FRM certified and he is also a Stonewall Ambassador.
Finance, Trading, Accounting, Risk Management, Treasury, Strategy, Diversity and Inclusion.
Fidelity International, Global Head of Non-Financial Risk: 2017 – Present. Fidelity International, APAC Chief Risk Officer, 2017 – 2018. DWS, UK Chief Risk Officer and Global Conduct Officer, 2016 – 2017. Deutsche Bank, Asset & Wealth Management Global Conduct Officer: 2015 – 2016. Deutsche Bank, Non-Financial Risk & Control Assessment Lead: 2014 – 2015. Deutsche Bank, Risk and ICAAP Oversight: 2012 – 2014. RBS, Treasury Head of Capital Stress Testing and Change: 2010 – 2012. Barclays, Group Risk Capital Manager: 2008 – 2010. Dexia Real Estate Capital Markets, Business Analyst: 2008. Dexia Treasury and Financial Markets, Programme Manager: 2004-2006. Dexia Group Risk, Economic Capital Analyst: 2003 – 2004. Dexia Ireland, Money Market Trader: 2001 – 2003. Dexia Ireland, Financial Controller: 2000 – 2001. Dexia France, Business Analyst: 1999 – 2000.
MBA, HEC: 2007. MSc, Finance, Pole Universitaire Leonard de Vinci: 1999. Undergraduate Degree, Economics, Universite de Caen: 1997.
Financial Risk Manager – GARP
Professional Activity and Membership
Regular speaker at risk conferences and diversity and inclusion conferences.