Michael Kuznetsov, MBA, possesses a solid foundation in finance and risk analysis with extensive experience in the financial sector. Roles held include Risk Analyst, Treasury Analyst, and Quality Specialist at Fidelity Investments, followed by positions as Credit Risk Officer - Hedge Funds at Barclays, Risk Management Associate at Nomura, and Equity Research Analyst at CFA Institute. Kuznetsov led a student team to successfully produce a comprehensive sell-side report on The Bank of New York Mellon, demonstrating strong analytical skills in financial statement evaluation and macroeconomic analysis. Academically, Kuznetsov is pursuing an MBA in Finance at Rutgers Business School, expected to graduate in 2024, and holds a Bachelor of Arts in Economics and Information Technology from Rutgers, awarded in 2016.
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