
Recent Master of Science in Economics graduate with a major in Financial Institutions & Markets. My training combined advanced courses in banking economics, investment analysis, and financial markets with strong foundations in microeconomics, macroeconomics, and econometrics. Skilled in financial statement analysis, credit risk, asset-liability management, portfolio evaluation, and econometric modeling (time series, panel data). Proficient in R, Stata, and EViews, and currently preparing for the CFA certification to strengthen expertise in financial markets and investment strategies. I aim to contribute to roles in banking, financial services, consulting, or policy analysis, where I can apply analytical and quantitative skills to deliver practical insights and support sound decision-making. Always eager to learn, grow, and take on new challenges in a stimulating environment.