Nikolay Kolev
Treasury, Director - Market & Liquidity Risk
- Role
- Treasury, Director - Market & Liquidity Risk at Fannie Mae
- Location
- Washington, WA, US
- LinkedIn followers
- 500 followers
About Nikolay Kolev
Seasoned risk professional with 10+ years in ALM / risk management / corporate development. Adept at facilitating the work of senior management; well-versed at communicating with clients and colleagues with and without strong financial backgrounds. Strong problem solving abilities, coupled with a thorough understanding of sophisticated financial products and strategies. Demonstrated success in recognizing and eliminating operational deficiencies. Engaged team player who has always championed employee growth.
Experience
Treasury, Director - Market & Liquidity Risk
May 2023 — Present
Education
Duquesne University
Bachelor's, Finance
1997 — 2001
Georgetown University McDonough School of Business
MBA, Finance
2007 — 2009
Skills
- Interest Rate Risk Management
- Qrm
- Var
- Derivatives
- Financial Analysis
- Model Validation
- Alm
- Capital Markets
- Forecasting
- Fixed Income
- Liquidity Risk
- Valuation
- Due Diligence
- Investments
- Financial Modeling
- Strategy
- Alternative Investments
- Private Equity
- Accounting
- Mortgage Industry
- Portfolio Management
- Financial Risk
- Asset Management
- Securitization
- Mergers & Acquisitions
- Credit Risk
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