Financière Banque Nationale
Fahim Rahmani, MSc., CFA, currently serves as an Associate in Treasury Risk Management at National Bank Financial since May 2019, focusing on Corporate Analytics & Development and Quantitative Risk Management. Prior experience includes roles as an Analyst on the Global Equity Derivatives Trading desk and in the Structured Solutions Group at National Bank Financial. Fahim has also gained teaching experience as a marker for Mathematics for Management at McGill University and held positions such as Summer Research Associate and Mutual Fund Analyst in the financial sector. With a Master's degree in Finance and a Bachelor's degree in Commerce from Concordia University, alongside international finance studies at EBS Universität für Wirtschaft und Recht, Fahim has developed a robust foundation in finance and analytics, complemented by practical experience in tutoring and retail management.
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