Julian C. is a seasoned finance professional with extensive experience in market and investment risk management. Currently serving as Market Risk Manager at Credicorp Capital since March 2021, Julian has previously held positions such as Investment Risk Professional at Seguros Bolivar S.A. and Capital Markets Professional at Telefónica, where market risk management was a key focus. Julian's academic contributions include serving as an Adjunct Professor in Quantitative Finance at Universidad del Rosario from January 2018 to June 2023. Julian holds a Master of Science in Quantitative Finance and Actuarial Science from Tilburg University and a Bachelor of Science in Finance and International Trade from Universidad del Rosario. Additional qualifications include a Diploma in Financial Management from Universidad Externado de Colombia.
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