Maxwell GunnillCredit & Capital Practice Leader at QRM
Mr. Gunnill is the Credit & Capital Practice Leader at QRM where he has specialized in risk management practices since 2003. His responsibilities include enterprise-wide risk management consulting, managing client implementations, and product development.
Specifically, Mr. Gunnill helps to design and implement QRM’s Enterprise Risk Framework, leveraging his expertise in credit and interest rate risk modeling, software design, international regulatory requirements, academic theory, and practical experience.
Prior to joining QRM, Mr. Gunnill spent five years managing and trading short/medium term bond portfolios for corporations at Morgan Stanley in San Francisco, CA. Mr. Gunnill holds a BBA degree in Finance from the University of Notre Dame and a MBA degree with specializations in Finance and Economics from the University of Chicago.