Lessons from the Markets is a bi-weekly reflection on financial risk, leadership judgement, and decision-making under uncertainty – drawn from nearly two decades of originating, executing, and advising FX, rates, and select commodities solutions for global multinationals and large corporates with Africa-linked exposures across Africa, the UK, and wider EMEA. Each edition builds on the last - to help leaders protect margins, preserve revenue, and turn volatility into strategic advantage