Miriam L. is a Quantitative Finance Manager with extensive experience in risk management and financial analysis. They have held positions at Banco Santander Mexico as a Gerente de Riesgos de Inversion and have worked as an Analista Valuación at BMV, specializing in the valuation of financial derivatives. With a strong educational background, Miriam completed a degree in Actuarial Science from Universidad Nacional Autónoma de México and pursued various diplomas in related financial and strategic fields. They are currently furthering their expertise in Financial Engineering at Facultad de Ingeniería de la UNAM.
This person is not in the org chart
This person is not in any teams
This person is not in any offices