VH

Vincent Hertsens

Credit Risk & Liquidity Optimization Manager at Mercuria

Vincent Hertsens has a diverse work experience in credit risk management. Vincent started their career at ExxonMobil in 2009 as a Credit Risk Analyst. Vincent then moved to SEFE Marketing & Trading Ltd in 2011, where they worked as a Credit Risk Analyst and later as a Senior Credit Risk Analyst, covering the LNG and Oil trading books. Vincent also had a part-time secondment to the Trade Finance department in 2015. In 2016, Vincent joined Mercuria as a Credit Risk Manager. Vincent was later promoted to the role of Credit Risk & Liquidity Optimization Manager, where they were responsible for managing counterparty and exchange positions to optimize the company's liquidity position.

Vincent Hertsens has a diverse educational background. Vincent obtained their M.Sc. in Business Economics from Vrije Universiteit Brussel from 2006 to 2009. During this time, they also participated in the Erasmus Programme at Ekonomická univerzita v Bratislave, focusing on Business Economics. Prior to this, they completed their M.Sc. in International Politics at Ghent University from 2002 to 2006. Additionally, Vincent has obtained several certifications to further enhance their knowledge and skills. In 2017, they received a Certificate in Public Policy Economics from the University of Oxford. In 2011, they obtained a Diploma Level 3 in Credit Management from the Chartered Institute of Credit Management (CICM).

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