Personal Info
Self Assessment & Objective
| Self Assessment: |
Excellent international exposure including: Bachelor degree (China, Norway & Denmark) Master degree (France) Current job in Mergers& Acquisition and risk management (the Netherlands)
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Job Target
| Current Industry: |
Finance (banking/insurance/stocks &bonds/funds/futures/investment) |
| Working Experience: |
2 year(s) |
| Target Salary: |
pre-tax monthly salary 12000.0YUAN (RMB)
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| Target Industry: |
Finance (banking/insurance/stocks &bonds/funds/futures/investment)
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| Desired Job Type: |
full time
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| Start Working: |
Interview |
| Working oversea: |
yes
|
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| Current Job Category: |
Investment Management/Research Analysis/Consultant |
| Current Position Level: |
Entry Level(less than 2 years experience) |
| Desired Salary: |
Pretax monthly salary 30000.0 yuan (RMB)
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| Target Job Category: |
Investment Management/Research Analysis/Consultant
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| Target Location: |
Shanghai
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Working Experience
| Experience1 |
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| Company Name: |
******
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| Work Date: |
09/2008—09/2009 |
| Job Title: |
Quantitative modeling expert, middle office |
| Location: |
Eindhoven, the Netherlands |
| Responsibilities: |
-Handle 'deal analysis' and 'portfolio analysis' in acquisition and financial leasing, normally each case larger than 5 million Euro amount
-Follow and familiar with department of global risk management, all analysis based on ECAP, RaRoC regulated by RABOBANK Group and BASEL II
-Translate business needs using APT model (Analytical Pricing Model created by DLL, which is the latest deal and portfolio analysis model in the world)
-Investigate the P&L in the existing financial models and establish some other useful business models to adapt new cases, report to Executive board directly
-Provide a quantitative basis on which risidule value, credit risk and operation risk related business decisions can be made
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| Experience2 |
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| Company Name: |
******
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| Work Date: |
08/2006—08/2008 |
| Job Title: |
Part-time finance translator |
| Location: |
Shanghai, China |
| Responsibilities: |
Translate financial reports and security analysis from top financial institutions in mainland of China and overseas branches
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| Experience3 |
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| Company Name: |
******
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| Work Date: |
08/2006—07/2007 |
| Job Title: |
Trainee project supervisor, department of corporate finance |
| Location: |
Sichuan, China |
| Responsibilities: |
-Team leader in charge of financial staffs such as financial reports, analysis of budget and take first-hand investigation
-Got some knowledge about the global marketing of Magnesium in Far East area. Focus on the trade between Japan and China
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| Experience4 |
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| Company Name: |
******
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| Work Date: |
07/2006—08/2006 |
| Job Title: |
Intern auditor |
| Location: |
Sichuan, China |
| Responsibilities: |
As a member in one of the biggest Accountant firm in Sichuan Province, did fieldwork in one city to help emerge the 17 domestic Credit Cooperatives toa large-scale Agriculture Bank. The main work is to calculate their assets, analyze their asset allocation and truth degree, make a final evaluation report ofthem, merger them into an official banking institute.
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Education
Education1
| Time education: |
10/10/2000—10/10/2000 |
| School: |
EDHEC Business School (France) |
| Degree: |
Master |
| Specialty: |
Business Administration.Finance |
| Description: |
Related Courses:Financial Modeling, Fixed Income, Options and Futures, Trading and Capital Markets, Asset Management, Equity Investments, Alternative Investment II(Hedge Funds & CTAs); GPA of 12.5/20, top 15% , with excellent scholarship in entrance Conference: London "EDHEC Alternative Investment", Paris "Exchange Trade Funds" |
Education2
| Time education: |
10/10/2000—10/10/2000 |
| School: |
Norwegian School of Management BI (Norway) |
| Degree: |
Bachelor |
| Specialty: |
Business Administration.Finance |
| Description: |
Related Courses: Econometrics, Investment analysis, Corporate Finance,Financial Statement & Valuation, Business Research Methods, FinancialAccounting, Managerial Accounting; GPA of Good (5-point) or first class degree, ranking 2/50, 5%GMAT: 95% in Quantitative, 4.5 Analytical Writing |
Education3
| Time education: |
10/10/2000—10/10/2000 |
| School: |
Shanghai Maritime University |
| Degree: |
Bachelor |
| Specialty: |
Economics.International Economics & Trade |
| Description: |
Related Courses: Advanced Mathematics, Linear Algebra, Statistics, Visual Basic, Economic Law, Macroeconomics, Microeconomics, QuantitativeMethod of Economic Management with GAP 80/100 or 3.0/4.0, ranking 15%, 3rd People's Award |
Language
| Grade of English: |
|
| Oral English: |
GRE |
| Spoken Level: |
Fluent |
| EnglishLevel |
Fluent |
| Chinese MandarinLevel |
Mother tongue |
| CantoneseLevel |
good |
Skills & Specialty
Computer/Statistical software: SPSS, EVIEWS and MINITAB, MATLAB, VBA, and Windows packages (Word, Excel, PowerPoint, etc)
Risk management: BASEL II Accord, RaRoC & ECAP measurement and APT model created by RABOBANK
Certificates: FRM (Financial Risk Manager) Candidate
CAIA (Chartered Alternative Investment Analyst) Candidate
Interests: Sports, Music, Travel and Musical Instrument