Vlad Dobrovan possesses a robust background in quantitative risk analysis, currently serving as a Quantitative Risk Analyst in both Credit Risk Modelling and Market Risk, along with roles as a Risk Oversight Analyst and Risk Controller at SEB since June 2017. Prior experience includes a brief tenure as a Research Analyst at Evernord in late 2016, a Summer Internship at CIVITTA in mid-2016, and a position as Project Development & Communications Assistant at the Chamber of Commerce and Industry of Moldova in the summer of 2015. Vlad's academic credentials include a Bachelor's degree in Business & Economics from Rīgas Ekonomikas augstskola - Stockholm School of Economics in Riga (2014-2017) and an exchange semester in Business & Finance at the University of Groningen in 2016-2017.
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