Madrid Area, Spain
Control de Riesgos en Mutuactivos, Mutua Madrileña
Investment Management
Education
Inese e IL3-Universidad de Barcelona 2013 — 2013
Máster de Postgrado en Solvencia II, Riesgos, Seguros
Universidad de Alcalá 2010 — 2011
Máster de Postgrado en Finanzas Cuantitativas, Finanzas Cuantitativas
Universidad de Almería 2000 — 2005
Ingeniero Técnico, Informática de Sistemas
Experience
Mutua Madrileña May 2014 - Present
Accenture February 2012 - May 2014
CIFF Business School February 2013 - March 2013
Indra July 2010 - January 2012
BlueMat November 2006 - July 2010
Isban December 2005 - November 2006
Holcim España April 2005 - September 2005
Skills
Counterparty Risk, Dirección y desarrollo..., Options, Investment Banking, Financial Markets, Riesgo de crédito, Finanzas, Matlab, Financial Management, SQL, Elaboración de modelos..., Team Management, Risk Management, Team Leadership, Portfolio Management, PL/SQL, Gestión de riesgos, Programming, Options Strategies, Insurance Risk, Excel, Financial Modeling, Software Project..., Program Development, ALM, BBDD, Risk Analysis, Financial Risk, Insurance, Solvency II, Asset Management, Management Consulting, Rental Management, Credit Risk, Bases de datos, VBA, Options Pricing, Quantitative Finance, VAR, SCR Calculating, Market Risk, Teamwork, Análisis financiero, Databases, Financial Analysis, Derivatives, Riesgo financiero, Financial Services, Internal valuation..., Finance