Marko Denic is experienced in risk management, credit risk analysis, financial reporting, and international economics. With a background in banking management and international economics, Marko has worked in various positions analyzing credit risk for sovereigns, banks, and microfinance institutions. Marko also has experience in financial control, forecasting, and data analysis across multiple industries. With a Master's Degree in International Economics and Economic Policy, Marko brings a strong analytical skillset to their work.
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