Kristian Rosenov

Abschluss: Master in Financial Management (MBA), University of Applied Sciences, Coburg, Germany

Munich, Deutschland

Fähigkeiten und Kenntnisse

Investment Management
Project Management
Balanced Scorecard analysis
Business valuations and analysis
Risk Management
Financial Analysis

Werdegang

Berufserfahrung von Kristian Rosenov

  • Bis heute 6 Jahre und 8 Monate, seit Okt. 2017

    Senior Business Analyst

    State Street Bank Luxembourg

  • Bis heute 8 Jahre und 7 Monate, seit Nov. 2015

    AML Analyst

    State Street Bank Luxembourg

    • Anti-Money Laundering analysis • Data processing • Implementation of KYC models • Ensuring compliance with international and Luxembourgish AML regulations

  • 6 Monate, Sep. 2014 - Feb. 2015

    PMO at CIB's IFRS9 & EU Banking Union projects

    HypoVereinsbank – UniCredit Bank AG

    • 'IFRS 9 implementation' project, replacing one of he most relevant accounting standards for banks, IAS 39 Financial Instruments. Involved in defining the bank's respective business model and project setup • 'EU Banking Union' project, handling the bank's compliance with the new European regime in banking supervision, recovery and resolution of banks, and deposit guarantee schemes. Adding extensive research and updates of economic planning models

  • 1 Jahr und 10 Monate, Dez. 2011 - Sep. 2013

    Junior business analyst

    HIRON - Management Consulting

    • Project management • Balanced Scorecard analysis and implementation • Part of the Centre for European Programmes and Training • Business valuations and analysis • Using and implementing strategic management tools

  • 6 Monate, Juli 2011 - Dez. 2011

    Intern

    HIRON - Management Consulting

    • Project management support • Due diligence research • Use of strategic management tools • Cost analysis and reporting

  • 4 Monate, Sep. 2009 - Dez. 2009

    Intern

    BenchMark SC

    • Learning the basics of horizontal and vertical corporate business relations • Doing a coursework on: "Defining the appropriate capital risk premium for SOFIX index" • Support to the Head of the Trading Floor of the company

Ausbildung von Kristian Rosenov

  • 2 Jahre, Sep. 2013 - Aug. 2015

    Finance and Mangement

    University of Applied Sciences, Coburg, Germany

    • Corporate Finance • Risk Management • Business Valuations • Financial Markets • Project Management

  • 3 Jahre und 11 Monate, Sep. 2008 - Juli 2012

    Finance and Economics

    University of National and World Economy, Sofia, Bulgaria

    • Investment Management • Statistics • Marketing • International Accounting • Entrepreneurship

Sprachen

  • Englisch

    Fließend

  • Spanisch

    Gut

  • Deutsch

    Gut

  • Französisch

    Gut

  • Bulgarian

    -

Interessen

Financial markets
Investment banking
FX Trading
Portfolio Management
Business Valuations
Risk Management
Business administration

21 Mio. XING Mitglieder, von A bis Z