Qualificações
Graduated in Economics from Universidade Presbiteriana Mackenzie and holds an MBA in Financial Management and Risk from FIPECAFI.
Experiência
He has over 20 years of experience in financial markets, with a focus on risk management. He has worked as a specialist in the fair value measurement of complex financial instruments and derivatives at large and mid-sized institutions.
He has experience in governance processes involving market, credit, liquidity, operational, and business continuity risks, banking products, derivative pricing, internal audit processes, and regulation of the Brazilian financial market under the supervision of the Central Bank.
His portfolio includes engagements with multiple, commercial, and investment banks, as well as other smaller and less complex financial institutions.