Martin Viohl


Having spent a significant part of my career in banking, with intermittent periods in management consulting and at law school, I have developed a detailed knowledge of FX risk management.

 In my current role, I support clients in the fund-level hedging team across all aspects of FX risk management — from initial risk identification and measurement through to developing comprehensive risk management strategies and implementing effective mitigation approaches.

 In my spare time, I enjoy being with my wife and daughter, meeting up with friends, exploring the wide range of cultural activities that London has to offer, and playing golf — albeit with varying degrees of success.

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My Experience

Joined PMC Treasury in 2025

2018 – 2023

Director, FX Risk Management, MUFG

2017 – 2018

Graduate Degree in Law, University of Law

LPC, BPP Law School

2006 – 2016

Managing Director, Corporate Derivates Group, Société Générale

2002 – 2006

Director, FX Sales, BNP Paribas

2000 – 2002

Risk Management Consultant, McKinsey & Co.

1994 – 2002

Director, Corporate FX Sales, HSBC Trinkaus