PARIS2013 - 2014Within the Group Finance Department my main missions are:
• Study and manage the liquidity risk, the interest rate risk and the foreign exchange risk of the consolidated entities of the Group
• Build tools (Gaps, Sensibility computations, Business Object reports) to lead quantitative and qualitative analysis of the risk positions at different hierarchical level (entity, pole, Group) and consider hedging positions to guarantee the result in accordance with local regulation.
• Assess and control liquidity risk, interest rate risk and foreign exchange risk arising
from financial arrangements (Structured Finance).
• Elaboration and the analysis of the financial plans by the evaluation of the foreign exchange risk, the risk of interest and the risk of rate.
Skema business school
- Etudiant
Lille2011 - maintenant2011 - 2012
Bachelor’s degree, Economics law finance and management, GPA of 3.5
2012 - 2013
Master's degree, International Financial Analysis
-Master’s degree in International Financial Analysis and Master in Management –Double degree- at SKEMA BUSINESS SCHOOL and Lille II university
- Preparation for CFA level I & II (Chartered Financial Analyst):