Daniel Torres Mejía

Educational Background
Bachelor's in Economics, Universidad Complutense de Madrid
(UCM), 2005
Master's in Financial Risk Management, IE Business School,
2012
Professional Experience
2007–2014: Senior Manager, Risk Management Department, J.P.
Morgan
Led the development of global credit, derivatives, and
liquidity risk frameworks.
During the 2008 financial crisis, managed to keep portfolio
drawdowns below the industry average.
2014-2020: Board Member, Professional Risk Managers'
International Association (PRMIA)
2020-Present: Head of Risk Control & Compliance, Aurevio
Capital
Built a multi-layered risk control system under SEC/ESMA dual
regulation.
Led a team of 11, overseeing real-time monitoring of VaR,
stress testing, and limit indicators.
Key Achievements
Successfully passed 5 external compliance and audit
assessments, with zero major violations for 6 consecutive
years.
In the first year of implementing the risk control model,
reduced the portfolio's maximum drawdown by 30%.