Gastón González Echeverría

Financial Risk Management Consultant at NetGO Financial Risk Management

Gastón González Echeverría has experience working at NetGO Financial Risk Management and TECHO-Chile.

At NetGO Financial Risk Management, Gastón held multiple roles. As a Financial Risk Management Consultant, they provided advice and support on exchange rate, interest rate, and commodity risks for clients in the real and financial sectors. Gastón also supervised valuation and effectiveness tests for the consultancy team, as well as conducted financial derivatives valuation for clients.

Prior to that, Gastón worked as an Analyst, where they participated in risk consultations for exchange rate and commodities. Gastón performed financial derivatives valuation for clients in the real sector, as well as evaluated bond break costs and corporate debt.

Before joining NetGO Financial Risk Management, Gastón had an internship at the company. During this time, they designed a hedge accounting module for IFRS 9 and conducted technical analysis on EURUSD. Gastón also contributed to a risk consultation focusing on exchange rate risks.

Additionally, Gastón gained volunteer experience at TECHO-Chile, where they served as a Community Volunteer from May 2012 to December 2013.

Gastón González Echeverría has a diverse education history. Gastón earned a Master of Science degree in Financial Engineering from Universidad Adolfo Ibáñez in 2021. Gastón also pursued a degree in Industrial Civil Engineering with a minor in Business Analytics from the same university, spanning from 2016 to 2021. Additionally, Gastón studied Finance at Universidad de Oviedo for a brief period in 2017 and Civil Engineering in Mining at Universidad de Santiago de Chile from 2014 to 2015. Currently, they are enrolled at Universidad de Chile, taking a course on Fixed Income Investments, which will be completed in 2023.

Gastón González Echeverría has also obtained several certifications, including Trading Algorithms, Investment Management in an Evolving and Volatile World, The Investment Management Industry, Trading Basics, Fundamentals of Equities, Securing Investment Returns in the Long Run, Stocks and Bonds, Cómo Invertir en Cripto, Portfolio and Risk Management, and Portfolio Manager Expert Interview. These certifications were earned from institutions such as Coursera and Financial Edge Training, with completion dates ranging from 2022 to 2023.

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Timeline

  • Financial Risk Management Consultant

    January, 2023 - present

  • Analista financiero

    July, 2021

  • Pasante

    January, 2021

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