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Hülya MELEK

Risk Manager at Amundi

Hülya MELEK has a diverse work experience in the financial industry. Hülya currently works at Amundi as a Risk Manager, starting in November 2021. Prior to this, they worked at Groupe Crédit du Nord from May 2019 to November 2021 as an Analyste risques de marché et de contrepartie. Before that, Hülya worked at Crédit Agricole CIB in various roles. From August 2016 to May 2019, they served as a Counterparty Risk Consolidation on Capital Market Transactions, and from November 2013 to August 2016, they were a Derivatives Treasury FX MM Investigations Analyst. Hülya's work experience at Crédit Agricole began in September 2010, where they held the positions of Treasury, FX/MM Settlements Analyst (Interbank, Central Banks & Corporates) from October 2011 to September 2013, and Investigations/CA/DAS Back Office Manager (Securities) from September 2010 to September 2011.

Hülya Melek's education history begins in 2007 when they attended Université Paris 13 and obtained a Diplôme universitaire de technologie (DUT) in Techniques de commercialisations, which is a diploma in marketing techniques. Hülya then went on to study at the University of Paris I: Panthéon-Sorbonne from 2009 to 2010 and earned a Bachelor's degree in Economics. Continuing their education, from 2010 to 2011, they attended Université Paris Cité and completed a Professional Degree in Assurance, Bank, and Finance with a specialty in banking transaction management. Hülya then pursued a Master's degree in Economy, Management, and International Finance with a specialty in Banks, Finances - Risk at Université Paris 13 from 2011 to 2013. Overall, Hülya Melek has a diverse educational background, with a focus on economics, banking, and finance.

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Timeline

  • Risk Manager

    November, 2021 - present