Nadezda Schmaranzer
Angestellt, Scrum master/ Business Analyst, Raiffeisen Bank International AG
Wien, Österreich
Über mich
Agile practitioner, Business Analyst, Executive MBA Class of December 22, Board member ICF Austria, ACC, Team Coach Coaching mindset is about be open to other opinions, partnership, creating common goal and follow the flow to achieve the best result. It's about thinking out of the box, creativity and clarity. So, this mindset is useful in any of my past and current experience and I can bring the benefit of mixing all of my experience to your benefit.
Werdegang
Berufserfahrung von Nadezda Schmaranzer
Bis heute 3 Jahre und 3 Monate, seit März 2021
Director Professional Development
ICF Austria
Bis heute 5 Jahre und 5 Monate, seit Jan. 2019
Scrum master/ Business Analyst
Raiffeisen Bank International AGCOREP
3 Jahre und 6 Monate, Juli 2015 - Dez. 2018
Senior Business Analyst
Erste Group IT International
9 Monate, Okt. 2014 - Juni 2015
Business Consultant
Wolters Kluwer Financial Services
3 Jahre und 3 Monate, Juli 2011 - Sep. 2014
liquidity risk manager
Erste Group AG
liquidity risk management
4 Monate, Apr. 2011 - Juli 2011
sales manager
S-Energy GmbH
11 Monate, Aug. 2008 - Juni 2009
PHP developer
“SCG-service
Ausbildung von Nadezda Schmaranzer
1 Monat, Jan. 2012 - Jan. 2012
Quantitative Asset and Risk Management
University of Economics in Katowice
Management of Life and Non-life Risk, Integrated Asset Management, ALM and Insurance Management
1 Monat, Okt. 2011 - Okt. 2011
Quantitative Asset and Risk Management
Anglo-American University, Prague
Bank Management, Risk Controlling Market- and Credit Risk, Legal Framework and Ethics, Operational Risk
3 Jahre und 10 Monate, Sep. 2005 - Juni 2009
Mechanics and Mathematics
Novosibirsk State University
Advanced mathematical theories, calculations methods, programming, algorithms and databases theories, advanced courses in mechanics. Master Thesis in discrete information and mathematics area.
Quantitative asset and risk management
Fachhochschule des BFI Wien
Quantitative Models in Finance, Risk Management (Credit-, Market-, Life-, Non-Life- Risk Measurement), Asset Management (Equity, FX, Structured Products, Interest Rate Products, Alternative Investments) Master Thesis in liquidity risk measurement.
Sprachen
Russisch
Muttersprache
Deutsch
Gut
Englisch
Fließend