Marian-Fernando Stoica

Risk Specialist- Market And Liquidity Risk Department at BCR

Marian-Fernando Stoica is a Risk Specialist in the Market and Liquidity Risk Department at BCR. In this role, Marian-Fernando is responsible for regulatory valuation calculations, reporting on interest rate risk, stress testing, pricing methodology for financial instruments, model development, and risk projects. Prior to this position, Marian-Fernando was a Jr. Risk Manager in the same department at BCR. Marian-Fernando also completed an international trainee program at Erste Group and worked as a Junior TAS in Transaction Support at EY. Marian-Fernando holds a Master's degree in Finance from the Doctoral School of Finance and Banking, among other qualifications.

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Previous companies

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Timeline

  • Risk Specialist- Market And Liquidity Risk Department

    April, 2023 - present

  • Jr Risk Manager Market And Liquidity Risk Department

    September, 2020