Layne Atkinson, CFA

EVP, Risk Management
Brief info
Layne is the EVP, Risk Management at Quantas Capital. Layne has over 11 years of experience in the financial services industry spanning Risk Management, Asset Management and Research. Most recently, Layne was Senior Manager, Balance Sheet and Interest Rate Risk for the English Caribbean Region (ECR) at Scotiabank Group Jamaica (SGJ), where he had responsibility for the measurement, monitoring and governance of market risk exposures. Layne was also a member of various Asset Liability Committees (ALCOs) across the ECR, and supported Risk Strategy for the Off-Balance sheet business.

Layne is the Executive Vice President, Risk Management at Quantas Capital. Mr. Atkinson has over 11 years of experience in the financial services industry spanning Risk Management, Asset Management and Research. Before joining the Quantas team, Layne functioned as a Senior Manager, Balance Sheet and Interest Rate Risk for the English Caribbean Region (ECR) at Scotiabank Group Jamaica (SGJ), where he had responsibility for the measurement, monitoring and governance of market risk exposures. With his wealth of technical knowledge, Layne has served as a member of various Asset Liability Committees (ALCOs) across the ECR, and supported Risk Strategy for the Off-Balance sheet business.

Mr. Atkinson is an active philanthropist with a focus on mentorship, volunteerism and supporting education among youth.

Qualifications & Membership
❑ B.Sc Actuarial Science, The University of the West Indies
❑ CFA® Charterholder

Areas of Expertise
❑ Risk Management
❑ Data Analytics
❑ Investment Research
❑ Leadership
❑ Investment Strategy
❑ Credit Risk Analysis
❑ Balance Sheet Management
❑ Risk Governance