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Investment Management/Research Analysis/Consultant| Finance (banking/insurance/stocks &bonds/funds/futures/investment)| 2year(s) | Master | Europe-Holland Update Date 2008-09-02

Name: ******  You can not get the details of Cv before purchase it. Click here to purchase
Gender:male
Date of Birth:04/1983
HuKou:Yibin
Nationality:China
Nationality:Han Chinese
Political Background:League member
Contact:

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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)

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)
Target Industry: Finance (banking/insurance/stocks &bonds/funds/futures/investment)
Desired Job Type: full time
Start Working: Interview
Working oversea: yes
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)
Target Job Category: Investment Management/Research Analysis/Consultant
Target Location: Shanghai
   

Working Experience


Experience1  
Company Name: ******
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
Experience2  
Company Name: ******
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
Experience3  
Company Name: ******
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

Experience4  
Company Name: ******
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.


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
Description Language:

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