Andrés Giovanny Muñoz Moreno

Director Riesgo De Liquidez Y Mercado at Crezcamos S.A.

Andrés Giovanny Muñoz Moreno has a diverse and extensive work experience spanning various roles and industries.

Andrés Giovanny began their career at Banco de Occidente in 2003, where they worked as an Auxiliar de cartera. In this role, they provided customer service, managed client requests regarding credit products, and supervised advisors and cashiers. Andrés Giovanny worked in different branches of the bank, gaining experience in cash operations and foreign currency.

In 2009, Andrés joined Proyectar Valores S.A., Comisionista de Bolsa, as an Analista de Riesgos. Their responsibilities included analyzing financial information and reporting to the Superintendencia Financiera. Andrés Giovanny also managed treasury operations, oversaw payments to clients and providers, and maintained relationships with financial entities.

Continuing their career in the banking sector, Andrés joined Banco AV Villas in 2011 as an Analista de Ingenieria Bancaria. In this role, they analyzed functional and technical specifications for channel-related projects and change requests. Andrés Giovanny ensured compliance with commercial, product, and security policies established by control departments. Andrés was also involved in process documentation and procedure improvement.

From 2012 to 2020, Andrés worked at Opportunity International as an Analista de Gestión de Riesgos. Andrés Giovanny implemented methodologies to identify, measure, control, and monitor operational risks in all financial processes. Andrés managed the database of risk events and designed indicators to monitor the effective operation of risk management systems.

In their most recent position at Crezcamos S.A., Andrés served as Director Riesgo de Liquidez y Mercado, starting in October 2020. Andrés Giovanny was responsible for liquidity risk management using normative models and internal policies. Andrés evaluated and monitored liquidity flows in the short and medium term to generate early alerts. Andrés Giovanny also identified and measured market risk associated with treasury operations using the VaR methodology.

Overall, Andrés Giovanny Muñoz Moreno has demonstrated a strong background in risk management and a proven ability to adapt to different roles and industries throughout their career.

Andrés Giovanny Muñoz Moreno has a diverse education history. In 1999, they began their studies at the Universidad de La Salle, where they pursued a Bachelor's degree in Business Administration and Management. Andrés Giovanny successfully completed their degree in 2006.

In 2015, Andrés enrolled in two short-term courses to enhance their knowledge in specific areas. Andrés Giovanny attended the Pontificia Universidad Javeriana for a program on Operational Risk Management and Business Continuity. Additionally, they completed a course titled "Health and Safety Management System" at the Universidad del Rosario.

In 2017, Andrés further expanded their expertise by undertaking a course on Operational Risk Management at the Universidad del Rosario.

Most recently, in 2020-2021, Andrés undertook a diploma program in Investment and Treasury Management at the Fundación Universitaria Empresarial de la Cámara de Comercio de Bogotá. This program provided him with a comprehensive understanding of finance and general financial management.

Throughout their education history, Andrés has focused on areas such as finance, risk management, business administration, and health and safety. Their educational background reflects a dedication to continuous learning and the acquisition of valuable skills in these fields.

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Timeline

  • Director Riesgo De Liquidez Y Mercado

    October, 2020 - present

  • Director De Riesgo Operativo

    January, 2020