Financial Risk Management Consultant VaR, Credit and Market Risk Analysis
Marokko
Französisch, Englisch
Einige Informationen werden in englischer Sprache angezeigt.
Über mich
I help investors, businesses, and financial teams identify, quantify, and manage risk before it becomes costly. My work spans market, credit, and portfolio risk — VaR modeling, stress testing, and risk reporting clear for technical and non-technical stakeholders.
Whether you need a one-time risk assessment, an ongoing monitoring framework, or help interpreting portfolio exposure, I deliver practical, decision-ready insights — not just numbers on a page.
I bring structure, rigor, and clear communication to every project. Let's talk about what's keeping your business up at night.... Mehr lesen