About me
I am a passionate C++ developer and finance professional with a deep-rooted expertise in derivatives, portfolio management, and statistical analysis. My career spans investment banking, academia, and high-performance computing, giving me a unique ability to combine financial insight with technical precision.
Having worked as a Portfolio Manager, Equity Salesman, and Lecturer, I bring a well-rounded skill set that includes quantitative modeling, risk management, and programming complex financial systems. I thrive in problem-solving environments where C++ programming meets financial innovation.
What sets me apart?
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Finance Meets High-Performance Coding
I turn complex financial models into fast, scalable, and efficient solutions, seamlessly merging technology with quantitative analysis.
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A Mind Built for Problem-Solving
With a background in risk management, investment strategy, and advanced programming, I thrive on tackling high-stakes challenges with precision.
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Creativity in Code & Logic
Innovation isn’t just for design—creative problem-solving is essential in programming. I develop efficient, outside-the-box solutions that push performance to the next level.
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Deep Financial Insight, Data-Driven Results
From derivatives pricing and stochastic calculus to portfolio construction, I blend academic depth with real-world expertise to create smarter systems
Contact me
Interested in working together? Fill out some info and we will be in touch shortly. We can’t wait to hear from you!