Description
SUMMARY: Over nine years of Financial Business Analysis experience with concentration on critical processes' re-engineering, design and monitoring of internal control environments, Market, Operational, Credit risk and Change Management. Capital Markets experience and advanced knowledge of Fixed Income (Bonds, Repos, Syndicated and Mortgage loans) and Fixed Income Derivatives, including Credit and Interest Rate Derivatives (swaps, inflation derivatives), Structured Products (MBS, CDS. CDOs), Futures and Options, Equities, Foreign Exchange (including FX hedging and FX regulatory projects)