Description
PROFESSIONAL SUMMARY Result orientated individual with a sound academic background in Financial Risk Management and can work as part of a team to manage financial risk, liquidity and market risks to reduce risk exposures and improve profits and asset growth. Have a good understanding of statistical concepts and financial analytics and willing to work with teams to optimize business performance and manage strategic risk exposure using financial models. Self-motivated and able to support the implementation of risk control initiatives, analyze historical data as well as explain complex financial terms to non-experts. Seeking a position in a reputable organization where I will be a valuable asset to the employer and utilize my Financial Risk Management knowledge as well as analytical and quantitative skills to make a positive impact.