CV ANALYSTE DES RISQUES FINANCIERS en anglais

CV ANALYSTE DES RISQUES FINANCIERS en anglais. Besoin de découvrir un modèle de CV analyste des risques financiers en anglais? Voici un exemple de Curriculum vite d’un candidat.

CV ANALYSTE DES RISQUES FINANCIERS en anglais


FINANCIAL RISK ANALYST

Recent MBA & MSc of finance graduate, with a particular interest in economics and financial market, my background and international experience will be well suited to pursue a career in finance.

 

EXPÉRIENCES PROFESSIONNELLES

  • 06/2010 – 08/2010
    Financial Consulting – Apa Nova Bucharest
    Responsible for quantifying the company exposure to interest and exchange rates – On E42.9M and $12.4M outstanding debt, and a planned E15M project – Advised on cost-benefice of the possible solutions that could be implemented
  • 07/2007 – 01/2012
    Personal Portfolio Management –
    Run a fund using both macro (direction) and technical analysis (entry and exit level) – Regroup currency pairs into sub-portfolio depending on their current underlying driving forces – Manage risk and allocate capital at the sup-portfolio level

FORMATIONS

  • 2016
    Master of Science – Major in Finance – Bac+5 et plus ou équivalent –Gestion financière – Université
    Smurfit Graduate Business School, Ireland – GPA: 3.56 and Award: 2nd Class Honours, Grade 1 – 14 group projects, 3 individual projects and 9 presentations
  • 2016
    Master of Business Administration – Specialism in Finance – Bac+5 et plus ou équivalent – Direction entreprise – Université
    Edinburgh Business School, Scotland – Credit Risk Management (B), Derivatives (A), Finance (A), Financial Risk Management (A)
  • 2014
    Postgraduate Diploma in Business Administration – Bac+3, Bac+4 ou équivalent – Direction entreprise –
    Edinburgh Business School, Scotland
  • 2010
    International Financial Management – Bac+3, Bac+4 ou équivalent –Gestion financière – Ecole de commerce ou de gestion
    École supérieure de gestion et de finance, France – 3rd Year: International Financial Management: First Class Honours – Erasmus program (6th semester): Copenhagen Business School

COMPÉTENCES

Financial Modelling
Expert
Financial Valuation
Expert
Credit and Financial Risk Management
Avancé
Excel
Avancé
MatLab
Avancé
VBA
Intermédiaire

LANGUES

  • Anglais
    Courant
    GMAT: 620 (2015) and IELTS: 7.5 (2013) – ESL Courses: Londres (2013 – 3 months) & Toronto (2007 – 9 months)
  • Français
    Courant
    First language
PERMIS SPÉCIFIQUES
  • B – Véhicule léger

CENTRES D’INTÉRÊT

  • Living abroad: Bucharest, Dublin, Toronto, London …
  • Documentaries: history, sciences, cultures

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