Nikolay Kolev

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

  1. Treasury, Director - Market & Liquidity Risk

    Fannie Mae

    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

Find verified contacts for anyone on LinkedIn

Unifers gives sales teams verified emails and direct dials, enriched profiles, and outreach that lands in the inbox.

Free plan included · No credit card required

This profile is compiled from publicly available professional sources. Unifers is not affiliated with or endorsed by LinkedIn. Request removal of this profile.

Nikolay Kolev — Email, Phone Number & Contact Info | Unifers