Boris Vaysburd has over 25 years of experience in a broad range of services, including financial instrument valuation, risk advisory, model risk management, product control, and investment management regulatory compliance to both public and private-sector clients.

Prior to joining Stout, Boris held multiple senior level positions at Deloitte, Royal Bank of Canada, Morgan Stanley, and other leading organizations. He managed a wide variety of strategic initiatives, including complex financial instrument valuations, development of valuation and risk solutions for the investment management industry, mergers, integrations, portfolio acquisitions and dispositions, valuation and risk governance, and cost optimization initiatives.

Boris brings a wealth of portfolio valuations, risk, and product control experience across variety of asset classes, including fixed income, alternative assets, structured credit products, securitized assets (ABS, MBS, CDO, etc.), commercial and residential real estate loans, leveraged loans, equity and interest rate derivatives, private equities, and others. He has managed model validation and risk management analysis across a variety of capital markets products and platforms.

He is an experienced practitioner of various regulatory matters, including SEC rule 2-5 and 18f-4, control and process design, optimization, and re-engineering, with a focus on analysis aimed at identifying opportunities to improve control and governance structure, achieve efficiencies, and reduce costs.