
A recent graduate in financial economics from Westminster University, with a strong foundation in financial markets, economic theory, and quantitative analysis. Equipped with expertise in financial modelling, data analysis, and economic forecasting, along with the ability to apply these skills to complex financial scenarios. Known for critical thinking and problem-solving capabilities, thriving in high-pressure environments. Eager to contribute knowledge in financial analysis, investment strategies, and risk management to a dynamic financial institution. Committed to continuous professional development, with a focus on excelling and advancing within the finance sector.