London, United Kingdom
Senior Sovereign and Country Risk Executive, Multilingual, Emerging Markets, Creative Thinker
Financial Services
Education
Sciences Po 1989 — 1990
M Phil in Soviet Studies
Université Paris Dauphine 1986 — 1988
Master in Applied Economics
Lycée Francois Villon 1977 — 1984
Baccalaureat Serie C
EHESS - Ecole des Hautes Etudes en Sciences Sociales
EHESS - Ecole des Hautes Etudes en Sciences Sociales
EHESS - Ecole des Hautes Etudes en Sciences Sociales
Experience
Royal Bank of Scotland July 2014 - Present
Royal Bank of Scotland September 2011 - June 2014
Standard & Poor's March 2003 - August 2011
Standard & Poor's December 1998 - February 2003
Center for Studies on Modes of Industrialization (Paris). October 1994 - November 1998
International Monetary Fund June 1994 - September 1994
Eurostat December 1993 - May 1994
OECD August 1992 - July 1993
Central Bank of Russia July 1991 - December 1991
European Commission March 1990 - September 1990
Skills
Financial Fragility, Emerging Markets, Economic Policy, International Relations, Market Risk, Meditation, Economics, Finance, Basel II, Systemic Risk, Econometrics, Macroeconomics, Sovereign, Economic Data Analysis, Analysis, Russian, Rating, Fixed Income, Credit Risk, Eviews, Risk Management, Financial Risk, Political Risk Analysis, Credit, Economic Statistics, Economists, MENA, Analytics, Capital Markets, Sovereign Debt, Creative Problem Solving, Quantitative Analytics, National Accounting, International Economics, Sovereign Rating..., Country Risk Analysis, Reputational Risk, Central Asia, Former Soviet Union