SKILLS:
• Financial Economist +* years in Asset Management and Capital Market
• Excellent analytical skills
• Strong international and multicultural exposure
EDUCATION:
2008: Postgraduate degree in Financial and Monetary Economics
University Paris IX-Dauphine, France
2000: Master of Finance and Capital Market.
INSEEC Graduate School, Paris, France
1999: Master of Science in Economics
University Aix Marseille III School of Applied Economics, Aix en Provence, France
CAREER:
Since March 2010: Consolidated Credit Counseling, Fort Lauderdale, USA
Consumer debt Analyst
June 2003-October 2008: Covea Finance, Paris, France:
Asset Management Company (69 billion Euros in assets under management)
Economist:
• Worked closely with CEO, senior portfolio managers and economists/strategists to achieve excellent investment performance
• Conducted macroeconomic analysis and Central banks monitoring
• Developed contacts with external research teams (academics and institutional)
January 2001-June 2003: AZUR-GMF, Paris, France
Asset Management Company (18 billion Euros in assets under management)
Financial Analyst (buy side):
• Conducted financial analysis
• Conducted researches to support the Fixed Income/Equities portfolio allocation
• Developed company’s databases and research procedures
2000: HSBC-CCF, Paris
Assistant Fixed income products risk manager
1999: Office Depot, Chicago, USA
Sales
1998-1999: Université Aix-Marseille III
Teaching Assistant: Junior lecturer of research methodology (for first and second year’s students in economics)
TECHNICAL KNOWLEDGE:
• Languages: French (native), English
• Software: Bloomberg, Reuters, Pack Office, PowerPoint, , VBA(excel), DataStream, Eviews, Matlab, SAS, Access
MISCELLANEOUS:
• Travel: United States, France, UK, Africa
• Member of the French association of Economics
• Sports: Rugby, Swim