FRM holder, Master’s degree in Financial Mathematics, GMAT 680, with solid knowledge in both financial services industry, risk management and quantitative modeling; with 2+ years working experience of completing multiple academic research projects and internships concentrating on developing quantitative models, data transcription, analyses and management.
FRM holder, Master’s degree in Financial Mathematics, GMAT 680, with solid knowledge in both financial services industry, risk management and quantitative modeling; with 2+ years working experience of completing multiple academic research projects and internships concentrating on developing quantitative models, data transcription, analyses and management.