Gül Güler-Mille, CFA in

Gül Güler-Mille, CFA

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Director - Global Markets Risk at Bank of America
📍 London, England, United Kingdom

Gül is a Director in Global Markets Risk at Bank of America with two decades of experience at top-tier banks like Barclays and Lehman Brothers. She has extensive knowledge in risk management across the credit spectrum, including distressed debt and Emerging Markets, and is a CFA Charterholder.

She is a passionate advocate for diversity and inclusion, having served as an EMEA Market Risk Co-Chair. As a mentor and a certified Mental Health First Aider, Gül is dedicated to empowering and supporting her colleagues, fostering a positive workplace environment.

Unique fact: She recently earned a Chainalysis Cryptocurrency Fundamentals Certification, signaling an interest in digital assets.

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Experience
23 Years
Current Role
Director - Global Markets Risk
Job Level
Mid-senior
Location
London, England, United Kingdom
Personality Overview

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Communication Style
Decision Approach
Work Preference

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Priorities

Topics Gül cares about

Credit & Market Risk
Her entire career is focused on risk management, covering investment grade, high-yield, and distressed debt for top-tier global banks.
Emerging Markets
Has specific expertise and experience in managing market and issuer risk within Emerging Markets at both Bank of America and Barclays.
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Career

Work history

12-2017
Director - Global Markets Risk
Bank of America
10-2008 - 11-2017
Vice President - Market Risk
Barclays Investment Bank
5-2006 - 10-2008
Market Risk Associate
Lehman Brothers
11-2004 - 4-2006
Market Risk Analyst
Lloyds TSB
2002 - 2003
Intern
PricewaterhouseCoopers
In the press

Media appearances

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Education
1998 - 2003
BA
Boğaziçi University
2003 - 2004
MSc
University of Warwick - Warwick Business School
Social presence
in
Behavioral profile

DISC profile (public)

DISC behavioral profile

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