CINDY ANGGRAINI
**** * ******** ***, *******, IL 60605 217-***-**** ac0fk7@r.postjobfree.com
SUMMARY
Investment analyst with five years of experience in finance and economics. Proven capability in analyzing potential stock and fixed income investment, as well as macroeconomic variables relevant to financial market and banking sector. Key skills include:
Advanced Excel for Modeling
Financial Statements analysis
Financial Projection & Valuation
Economic Analysis
Credit Analysis
Portfolio Management
Data Management
Presentation: Written / Oral
Writing & Communication
PROFESSIONAL EXPERIENCE
ORGANIZATION FOR ECONOMIC COOPERATION & DEVELOPMENT (OECD) Chicago, USA/Anywhere Consultant (Contract) May 2017 – Present
Drafting background paper for economic and financial market policy review of country note for Southeast Asia, China, and India 2018 Economic Outlook
REAL CLIENTS MANAGED PORTFOLIOS, University of Illinois Urbana-Champaign, USA Investment Analyst August 2015 – May 2016
Constructed company’s financial analysis and valuation through discounted cash flows and relative valuation for Air Lease (AL), Miller Industries (MLR), Omega Flex (OFLX), Zix Corp (ZIXI), The Buckle (BKE), and AMC Network (AMCX) INTERNATIONAL MONETARY FUND (IMF), Representative Office Jakarta, Indonesia Research Economist June 2013 – May 2015
Performed analysis on macroeconomic developments relevant to financial market and banking sector
Developed ad-hoc report on individual bank’s financial analysis and on company’s financial valuation
Performed analysis on financial market and banking sector development in ASEAN-4 economic development report, together with other research economist from three different countries in Asia
Successfully improved efficiency on financial market and banking sector datasets (>200,000 recorded real-time data) by constructing automated financial model for regular economic reports
Significantly added sources of information like central bank officers, and financial institution experts DANAREKSA INVESTMENT MANAGEMENT, Mutual Fund Company Jakarta, Indonesia Portfolio Manager February 2013 – June 2013
Managed combined worth of $560 million portfolios across a broad range of domestic and international asset classes in fixed income, balance open-ended, and capital protected mutual funds
Executed trades for government and corporate bonds based on current market condition and portfolio’s objective Portfolio Analyst February 2011 – February 2013
Conducted due diligence on stock and corporate bond investments through bottom-up analysis, discounted cash flows, and relative valuation with end result of written recommendation report to investment team
Interviewed company’s management team, sell-side analysts, investor relationship personnel, and conferences
Assisted portfolio managers by monitoring fund performance, and benchmarks
Responded to marketing team with written economic and investment development report backed by market data
Elected as an acting head of dealing and transaction division and improved time efficiency by approximately 50% in preparation time of fund fact sheet for equity, fixed income, and money market fund Management Trainee (One-year Rotational Program) January 2010 – February 2011 EDUCATION
UNIVERSITY OF ILLINOIS AT URBANA-CHAMPAIGN (UIUC) Urbana-Champaign, USA Master of Science in Finance, GPA: 3.74/4.00 December 2016 UNIVERSITY OF INDONESIA
Jakarta, Indonesia
Bachelor of Engineering in Industrial Engineering, GPA: 3.48/4.00 July 2009 RELEVANT EXPERIENCE
Professional Development Member of Advisory Group in CFA Society, Chicago (January 2016 – Present) Financial Programming and Policies Course by Singapore Training Institute (STI) – IMF, Singapore (January 2014) Fixed Income School by Euromoney, Hong Kong (September 2011) Corporate Valuation: Financial Model & LBO by Edward & Peterson, Jakarta (November 2011) ADDITIONAL INFORMATION
Computer: Bloomberg, Reuters, Capital IQ, Stata, Eviews, and R Language: Indonesian (Native), English (Fluent)