Cologne, North Rhine-Westphalia, Germany
As a Quantitative Methods Analyst, I apply my advanced knowledge and skills in financial instruments, derivatives valuation, and financial engineering to support the companys' risk management functions. I have over seven years of experience in quantitative risk analysis (credit metrics+ model; 3 years) and valuation of financial instruments and derivatives (4.5 years), and I hold the Certified Financial Risk Manager (FRM) credential from the Global Association of Risk Professionals (GARP).
Credit Risk Analyst
Debtors Counseling
Retail Bank Apprenticeship