Opportunities arise daily and are numerous, and we provide you with the means to connect from one to the other
Maintaining control is the ability to drive your success however – and whichever – way you want.
Benefit from tailored solutions that meet your needs. Over 100 tradable assets and unlimited market access
JOHN M. CHAMPAGNE II, CAIA serves as Managing Director at Multifinancefxpro. John’s daily job functions include fund manager due diligence, risk analysis and working to support the Investment Committee. Before joining Multifinancefxpro, John worked as a Senior Hedge Fund Research Associate at Cambridge Associates, LLC in Washington, D.C. John holds the Chartered Alternative Investment Analyst (CAIA) designation. He earned a BS in Economics from the University of Georgia and is currently a Level 1 CFA Candidate.
Josh Phillips serves as a Senior Analyst at Multifinancefxpro. Josh’s focus it to support the investment team through his due diligence, research and analytical efforts. Josh is a graduate of Mercer University where he received a BBA in International Business and a minor in Spanish. He graduated top of his major and was a member of the Men’s Varsity Lacrosse team and the Student Managed Investment Fund.
Ian Greenstreet is an Investment Banker and international expert in Financial Risk. He is one of the managers of Multifinancefxpro, a London-based Corporate Finance firm, approved and regulated by the Financial Conduct Authority. With over 35 years of experience and insight within the banking and financial services sector, Ian is a very well networked business executive who leverages his relationships and expertise to assist companies in finding cutting technological solutions that improve their operations and help provide their clients with exceptional service.
Jonathan is a Chartered Accountant having trained with Deloitte Touche in London. His executive career has spanned 35 years and he has worked in senior roles at leading financial institutions such as HSBC, Lloyds bank. Ian was CEO of Henderson Portfolio Managers in Luxembourg a group that now has $130bn under management and Head of Risk ABN AMRO La Salle bank responsible for a £72 billion trading portfolio and a £39 billion portfolio. A man of foresight, he was able to predict the downfall of Long Term Capital Management saving ABN AMRO bank € 4 billion while being able to implement a system of including risk experts on City trading floors to maximize profitability and mitigate risk on transactions.