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Был меньше недели назад

Мужчина, 39 лет, родился 4 декабря 1986

Москва, не готов к переезду, готов к командировкам

Portfolio manager / trader

Специализации:
  • Казначей
  • Руководитель проектов
  • Финансовый менеджер

Тип занятости: полная занятость

Опыт работы 16 лет 5 месяцев

Январь 2019по настоящее время
7 лет 5 месяцев
Family Office (UBS GFO)
VP, Trading
Proprietary trading with over 70mln$ AUM - focusing on equities in all markets (MOEX, SPB, NYSE, LSE, OTC). Execution via Bloomberg (EMSX, working with counterparties). Back up in trading bonds, eurobonds, structure products and derivatives. Risk management, monitoring of liquidity and controlling global limits for group, forming digests with investment ideas, recent corporate actions, IPOs, placements, structure products and other news in financial markets.
Январь 2017Январь 2019
2 года 1 месяц
VP, Trading
Proprietary trading and advisory asset management for corporate clients on the basis of best execution, focusing on equities in all markets (MOEX, SPB, NYSE, LSE, OTC). Execution of client orders via Bloomberg (EMSX, working with counterparties). Back up in trading bonds, eurobonds, structure products and derivatives. Risk management, monitoring of liquidity and controlling global limits for group, forming digests with investment ideas, recent corporate actions, IPOs, placements, structure products and other news in financial markets. Cross-Asset - Trading local blue chips & 2nd, 3rd tier names (Equity, Fixed Income). Proprietary & Execution trading to corporate clients (Fixed Income, Money market, Structure and derivative products). Corporate Access – financing, structuring deals, equity and bond buy-backs. REPO projects support on Credit /Risk Committee.
Январь 2013Январь 2017
4 года 1 месяц
Trader
Providing brokerage service for wealthy clients on the basis of best execution, focusing on equities in all markets (MOEX, SPB, NYSE, LSE, OTC). Execution of client orders via Bloomberg (EMSX, working with counterparties). Back up in trading bonds, eurobonds, structure products and derivatives. Risk management for client's positions, monitoring of liquidity and controlling global limits for bank, forming digests with investment ideas, recent corporate actions, IPOs, placements, structure products and other news in financial markets. Corporate Access – financing, structuring deals, equity and bond buy-backs. Attracting new corporate customers, developing relations with new and existing clients. Cross-Sales to corporate clients (Fixed Income, Money market, Structure and derivative products) Market color and analysis on daily basis. Sales marketing research for US, European clients.
Январь 2010Декабрь 2013
4 года
RMG Holdings
Trader
Institutional clients coverage. Blue chips trading - local/ADRs. Flow generation (focused on 2nd, 3rd tier illiquid companies). Crosses / block trades.

Навыки

Уровни владения навыками
Equities
Инвестиционный анализ
конверсионные сделки
Asset manager
Управление активами
Bonds

Обо мне

Master of Economic Sciences (Specialism: Finance and Credit) Awarded 5 year free-tuition MSc thesis: «Structured Crisis in Economy» Federal Financial Markets Service (FFMS, FSFR) FFMS qualification certificate series 1.0

Высшее образование

2009
Высшее образование
Finance University under the Government of the Russian Federation
Finance and Credit, Banking

Знание языков

Русский — Родной

Английский — C1 — Продвинутый

Итальянский — B1 — Средний

Гражданство, время в пути до работы

Гражданство: Россия

Разрешение на работу: Россия

Желательное время в пути до работы: Не имеет значения