Risk management professional, experienced in financial services, risk management, stress testing, capital planning, accounting, assurance, audit, compliance, reporting, strategy, treasury, and investment research. CAIA Level II and FRM Level I candidate, Master of Finance, and MSc in Global Finance graduate with a background in economics. Competent in due diligence, financial modeling, asset pricing, and valuation. Interested in stress testing, capital planning, fintech, investment research, asset management, corporate finance, private equity, and venture capital.
My Mentoring Topics
Risk Management
Stress Testing
Capital Planning
Investment Research
Finance
Treasury
Audit
Financial Modelling
Asset Pricing
Valuation
Angel Investing
Economics
Stress Testing
Capital Planning
Investment Research
Finance
Treasury
Audit
Financial Modelling
Asset Pricing
Valuation
Angel Investing
Economics