October 2012 - at Present
FX, Commodities (Energy, Softs), Equity, Metals, Indices trades execution. Risk management. Liquidity and spread Mgmt.
at Meritum Bank
July 2008 - July 2011
Fixed Income and FX portfolio management. FX spot and swap hedging/trading. Risk management. Liquidity management.
Market and Data Analyst
at Thomson Reuters
July 2007 - June 2008
Master of Economics
at University of Technology Koszalin
2002 - 2007 (5 years)
Treasury / FX/ Commodities/ Equity trading, Investment Mgmt. Risk Mgmt. Valuation. Wealth Advice .
Macroeconomics Analysis applied to capital markets in form of hedging, trading, constructing investment portfolio and wealth Mgmt. Except that I can provide risk Mgmt and valuation in order to optimize business risks and generate strategy how to improve business financial risks
Project Mgmt for software and services related for brokerage and banks clients
Advisory or project management in software development for trading, trade analysis, spread management, toxic flow management or platforms construction for traders. Advisory and project development for services related to wealth management, portfolio/asset management and trading for brokers and banks and companies which uses capital markets bin their operations.
Risk management for brokers and banks and hedge funds
Risk management, execution evaluation, exposure Mgmt and PnL valuations.
Capital Markets and Macroeconomics Analysis.
Creating content (analysis fundamental and technical) with regards to current macroecomical situation and current capital markets situations. Providing forecast.
Knowledge and keywords
- Bloomberg terminal
- Reuters Eikon
- Equity trading
- Currency spot and derivatives trading
- Commodities trading
- Fixed income trading
- Portfolio management
- Risk management
- Valuation of PnL
- Treasury management
- Market analysis
- microsoft excel
- Team leadership
- Project management
- project portfolio management
- Software development