Marko Vasilic is a Market Risk Manager at ING, specializing in risk management and reporting for the ING Europe Non-Linear Rates portfolio. Prior to this role, Marko served as a Market Risk Analyst at ING, focusing on extensive market data risk analytics across major asset classes. Marko's career includes experience as a Graduate Trader at Flow Traders and various roles in macroeconomic analysis and portfolio management, with notable positions at the National Bank of Serbia and UNDP. They hold a Master's degree in Quantitative Finance from ETH Zurich and a Bachelor's degree in Economics from the Faculty of Economics, University of Belgrade.
Location
Amsterdam, Netherlands
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