Paul Burgoyne

Head: Treasury and Money Markets
Standard Bank

Paul Burgoyne

Biography

Paul is responsible for Treasury at Standard Bank, including funding and liquidity management, accessing local and international capital markets, short term and intraday liquidity and cash management. He manages the banks treasury trading and risk management functions, including the bank’s portfolio of high-quality liquid assets and market risks emanating from banking book activities. In addition, Paul manages the Money Markets business in CIB including client deposits and short-term market-based funding requirements across corporate, public sector and non-bank financial institutions. Paul is a qualified Chartered Financial Analyst (CFA) and Chartered Accountant (CA(SA)), and has a completed a B. Bus Sci (Hons) qualification from the University of Cape Town in South Africa.