Paris Area, France
Asset Liability Management and Tresury at BNP Paribas
Investment Banking
Education
Humboldt University Berlin 2014 — 2015
MSc Economics and Statistics (in English)
Ecole nationale de la Statistique et de l'Administration économique 2013 — 2015
Economics and Statistics, Applied Mathematics in Financial Markets
Université Panthéon Sorbonne (Paris I) 2012 — 2013
Master's degree, Statistical, Economic and Financial Modeling, top in my year
Université Paris XII 2011 — 2012
Bachelor’s degree, Management and Business Administration, with honors
Universitatea Transilvania din Brașov 2009 — 2012
Bachelor’s degree, Finance and Banking, highest class average
Experience
BNP Paribas June 2014 - October 2014
Natixis April 2013 - September 2013
Guildinvest Group May 2012 - September 2012
Skills
Macroeconomics, Credit Scoring, Basel II, Derivatives, R, Financial Modeling, Credit Risk, Bloomberg, Portfolio Management, Market Risk, Investment Banking, Financial Risk, Microsoft Office, AS400 Administration, Econometrics, Treasury, Financial Markets, Eviews, SAS programming, VBA, SAP, Bloomberg Terminal, ALM, IML, SQL, Capital Markets, Matlab, Quantitative Analytics, SAS, Interest Rate..., Turbo Pascal, Trade Finance, Fixed Income