Pablo Castellanos
About Pablo Castellanos
Pablo Castellanos is the Vice President at Jefferies, with a strong background in finance and international experience.
Professional Experience at Jefferies
Pablo Castellanos currently serves as Vice President at Jefferies, a position he has held since 2021. He brings a wealth of experience from his previous roles at the company, including Assistant Vice President (2018 to 2021), Associate (2014 to 2018), and Analyst (2013 to 2014). His extensive tenure at Jefferies has equipped him with in-depth knowledge of financial markets and a solid foundation in investment management.
Previous Work Experience
Before joining Jefferies, Pablo Castellanos gained valuable experience in training and management support at Unicredit in Milan, Italy, during a two-month period in 2008. Additionally, he worked in HR management at AREVA in Paris, France, for two months in 2007. These early roles provided him with a broad understanding of corporate operations and human resource management.
Education and Expertise
Pablo Castellanos completed a Masters in Finance at Instituto de Empresa from 2012 to 2013, where he studied Banking, Corporate Finance, Portfolio Management, Securities, and Foreign Investments. He also holds a Bachelor's degree in Economics from Syracuse University, which he earned between 2006 and 2010. His strong quantitative background has been essential in his roles in investment management.
Language Proficiency
Pablo Castellanos is fluent in three languages: Spanish, French, and English. This multilingual capability enhances his ability to work effectively in diverse international settings and contributes to his versatility as a financial professional.
Commitment to Corporate Goals
Throughout his career, Pablo Castellanos has demonstrated a strong commitment to achieving corporate goals. This results-driven approach is evident in his dedication to his roles at Jefferies and other positions. His ambition and drive to learn are crucial traits that help him thrive in the fast-paced environment of financial markets.