Robert Miller is a Principal Analyst in the Financial Risk Office. Robert has worked on numerous policies relating to the management of Canada's foreign reserves. He has also been involved in policy development from a risk perspective for domestic debt issuance and collateral management. Robert is a member of the Financial Risk Management Working Group. He is the Secretary for the Risk Committee, and is a regular participant at the Foreign Reserves and Debt & Treasury Management Committees. Prior to joining the Financial Risk Office, Robert spent seven years on the Market Analysis and Operations team, where he was involved in all aspects of domestic treasury operations. Robert has over thirty years of broad financial markets expertise spanning treasury, risk management and banking.