Effective leader with 20 years of success in portfolio management, asset allocation, operations and risk management. In-depth experience in financial modeling, market and credit research, analysis, pricing and trading of fixed income products. Proven quantitative and qualitative analytical skills, strong problem-solving and decision-making ability. Produced superior financial results, developed and implemented strategic plans and created effective work teams. Expert in Risk Management, Capital Markets, Asset Liability Management (ALM) and Total Rate of Return (TROR).Specialties: Financial analysis, modeling, planning, scoring, pricing, trading, portfolio management and risk management.
Listed skills include Portfolio Management, Capital Markets, Risk Management, Trading, and 10 others.