Csaba Klein, Cfa
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Csaba Klein, Cfa Email & Phone Number

Treasury Capital Markets Director at Morgan Stanley at Morgan Stanley
Location: Budapest, Hungary 4 work roles 3 schools
1 work email found @morganstanley.com LinkedIn matched
✓ Verified July 2026 4 data sources Profile completeness 100%

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Current company
Role
Treasury Capital Markets Director at Morgan Stanley
Location
Budapest, Hungary
Company size

Who is Csaba Klein, Cfa? Overview

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Quick answer

Csaba Klein, Cfa is listed as Treasury Capital Markets Director at Morgan Stanley at Morgan Stanley, a with 78669 employees, based in Budapest, Hungary. AeroLeads shows a work email signal at morganstanley.com and a matched LinkedIn profile for Csaba Klein, Cfa.

Csaba Klein, Cfa previously worked as Director - Treasury Capital Markets at Morgan Stanley and Asset Liability Management Expert (ALM) at Takarékbank. Csaba Klein, Cfa holds Master Of Science In Finance, Corporate Finance, Evaluation, A from Budapest University Of Technology And Economics.

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*@morganstanley.com
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Profile bio

About Csaba Klein, Cfa

Asset-Liability Management Expert with banking and advisory background characterized by strong analytical skill set, proactive and pragmatic attitude and comprehensive financial experience. Focus areas: Fixed Income Asset Management, Portfolio Management, Interest Rate Risk management, People Management

Listed skills include Consulting, Banking, Economics, Fixed Income, and 34 others.

Current workplace

Csaba Klein, Cfa's current company

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Morgan Stanley
Morgan Stanley
Treasury Capital Markets Director at Morgan Stanley
new york, new york, united states
Employees
78669
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4 roles

Csaba Klein, Cfa work experience

A career timeline built from the work history available for this profile.

Director - Treasury Capital Markets

Current

Budapest, Hungary

- Treasury control of structured notes portfolio- Monitoring of funding usage and sourcing of EMEA entities with their regulatory requirement implications (NSFR, LCR)- Development and operation of funding planning framework

Jul 2022 - Present

Asset Liability Management Expert (Alm)

Budapest

- Managing the fixed income portfolio of the Group's banking book and hedging of the inherent risks of the entire banking book - Management of the banking book's interest rate and liquidity profile in line with regulatory expecations (e.g. IRRBB, LCR) and the Group's asset-liability management strategy- Modelling of the behaviorial optionalities related to the interest rate risk (e.g. stability of sight deposits, loan prepayments) - Operation and development of the internal funding… Show more - Managing the fixed income portfolio of the Group's banking book and hedging of the inherent risks of the entire banking book - Management of the banking book's interest rate and liquidity profile in line with regulatory expecations (e.g. IRRBB, LCR) and the Group's asset-liability management strategy- Modelling of the behaviorial optionalities related to the interest rate risk (e.g. stability of sight deposits, loan prepayments) - Operation and development of the internal funding transfer price framework- Operation and development of the SQL based internal reporting framework of ALM- Support of the ALCO's decision making process Show less

Aug 2019 - Oct 2022

Assistant Manager

Budapest, Budapest, Hungary

- Credit risk modelling for financial institutions- IFRS9 based impairment modelling (segmentation, PD & EAD modelling, staging modeldevelopment, SPPI)- Financial due diligence engagements on financial institutions- Fraud related due diligence engagements on brokerage firms- Risk and control framework understanding, evaluation and validation.- Assessment of an organizations' risk capabilities, identification and prioritization ofenterprise-wide risks and providing… Show more - Credit risk modelling for financial institutions- IFRS9 based impairment modelling (segmentation, PD & EAD modelling, staging modeldevelopment, SPPI)- Financial due diligence engagements on financial institutions- Fraud related due diligence engagements on brokerage firms- Risk and control framework understanding, evaluation and validation.- Assessment of an organizations' risk capabilities, identification and prioritization ofenterprise-wide risks and providing recommendations for improvement Show less

Jun 2014 - Dec 2018
Team & coworkers

Colleagues at Morgan Stanley

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3 education records

Csaba Klein, Cfa education

Master Of Science In Finance, Corporate Finance, Evaluation, A

Activities and Societies: Liska Tibor College for Advanced Studies, Mentor Team Specialization: Corporate finance and business evaluation.

FAQ

Frequently asked questions about Csaba Klein, Cfa

Quick answers generated from the profile data available on this page.

What company does Csaba Klein, Cfa work for?

Csaba Klein, Cfa works for Morgan Stanley.

What is Csaba Klein, Cfa's role at Morgan Stanley?

Csaba Klein, Cfa is listed as Treasury Capital Markets Director at Morgan Stanley at Morgan Stanley.

What is Csaba Klein, Cfa's email address?

AeroLeads has found 1 work email signal at @morganstanley.com for Csaba Klein, Cfa at Morgan Stanley.

Where is Csaba Klein, Cfa based?

Csaba Klein, Cfa is based in Budapest, Hungary while working with Morgan Stanley.

What companies has Csaba Klein, Cfa worked for?

Csaba Klein, Cfa has worked for Morgan Stanley, Takarékbank, Deloitte Hungary, and Deloitte Advisory And Management Consulting Private Limited Company.

Who are Csaba Klein, Cfa's colleagues at Morgan Stanley?

Csaba Klein, Cfa's colleagues at Morgan Stanley include Russell Spitz, Cfp®, Burke Francis, Kritika Nema, Lili Driggs, and Charlie Cropper.

How can I contact Csaba Klein, Cfa?

You can use AeroLeads to view verified contact signals for Csaba Klein, Cfa at Morgan Stanley, including work email, phone, and LinkedIn data when available.

What schools did Csaba Klein, Cfa attend?

Csaba Klein, Cfa holds Master Of Science In Finance, Corporate Finance, Evaluation, A from Budapest University Of Technology And Economics.

What skills is Csaba Klein, Cfa known for?

Csaba Klein, Cfa is listed with skills including Consulting, Banking, Economics, Fixed Income, Enterprise Risk Management, Report Writing, Interest Rate Risk Management, and Portfolio Management.

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