David Pinto
Angestellt, Senior Economist | Vice President, Deutsche Bank AG
Frankfurt am Main, Deutschland
Werdegang
Berufserfahrung von David Pinto
Macro Risks & Scenarios | ERM Risk Research - Presentation of economic scenarios to senior management - Macroeconomic scenario design & forecasting - Econometric Modelling - Sovereign Credit Rating (Spain & Portugal) - Stress testing & risk identification - Project Management (Macro & Portfolio risk reconciliation)
Macro Risks & Scenarios | ERM Risk Research - Macroeconomic scenario design & forecasting - Econometric Modelling - Sovereign Credit Rating (Spain & Portugal) - Stress testing & risk identification
Group Finance | Solvency Elaboration of key financial metrics: - Core Equity Tier 1 Capital - Additional Tier 1 Capital - Tier 2 Capital - COREP - Basel III QIS: Quantitative Impact Study
2 Jahre und 1 Monat, Sep. 2013 - Sep. 2015
Senior Associate
KPMG Consulting
Liquidity Risk Consultant, Financial Institutions Elaboration of key liquidity metrics: - Net Stable Funding Ratio (NSFR) - Liquidity Coverage Ratio (LCR) - Intraday-Liquidity - Basel III (Quantitative Impact Study - QIS), CRD (Implementing Technical Standards - ITS)
1 Jahr und 7 Monate, Apr. 2009 - Okt. 2010
Economist
Central Bank of Venezuela (Banco Central de Venezuela)
Central Bank | Macroeconomic Analysis Unit - Elaboration of economic reports - Econometric modelling
Ausbildung von David Pinto
10 Monate, Aug. 2012 - Mai 2013
Master (A.S.C.) in Economic Policy Research
Christian-Albrechts-Universität zu Kiel, Institut für Weltwirtschaft (IfW)
Advanced Studies Program in International Economic Policy Research (A.S.P) Kiel Institute for the World Economy (IfW) Research courses seen with the following visiting professors: Gene Grossman (Princeton University) George Borjas (Harvard University) Peter Neary (Oxford University) Fabrizio Zilibotti (Universität Zürich) among others
2 Jahre, Okt. 2010 - Sep. 2012
Master (M.sc.) in Money & Finance
Johann Wolfgang Goethe Universität Frankfurt am Main
Konrad-Adenauer-Stiftung Scholarship Focus: Macro-Finance, Econometrics Courses seen with: - Livio Stracca (European Central Bank) - Christiane Nickel (European Central Bank) among others
5 Jahre und 3 Monate, Okt. 2003 - Dez. 2008
Economics
Universidad Central de Venezuela
Makroökonomie und Ökonometrie
Sprachen
Englisch
Fließend
Deutsch
Fließend
Spanisch
Muttersprache
Französisch
Gut