Alexandru Mursa
About Alexandru Mursa
Alexandru Mursa is a Risk Control Specialist at UBS, focusing on Model Risk Management and Control. He has over a decade of experience in the financial sector, with expertise in portfolio analysis, stress testing, and fixed income and equity analysis.
Work at UBS
Alexandru Mursa has been employed at UBS since 2014, serving as a Risk Control Specialist in the Model Risk Management and Control department. His tenure at UBS spans ten years and is based in London, United Kingdom. Prior to his current role, he worked as a Quantitative Risk Analyst at UBS from 2012 to 2013 in Singapore. His responsibilities include managing model risk and ensuring compliance with regulatory standards.
Education and Expertise
Alexandru Mursa holds a Master of Science degree from Maastricht University - School of Business and Economics, where he studied from 2009 to 2011. He also earned a Bachelor of Science degree from the Academy of Economic Studies of Bucharest, completing his studies from 2003 to 2007. His educational background provides a strong foundation in finance, particularly in areas such as portfolio analysis and stress testing.
Background
Alexandru Mursa began his career with an internship at OTP Bank in Bucharest, Romania, in 2006. He later worked at Generali Pensions Funds as a Dealer from 2007 to 2009. His professional journey includes significant experience in quantitative risk analysis and financial management, contributing to his current role at UBS.
Skills and Specializations
Alexandru Mursa possesses a range of skills relevant to the finance industry. He is skilled in fixed income and equity analysis, industry and macro analysis, and has expertise in counterparty credit exposure, CVA, and RWA. His proficiency extends to data mining, research, and cash flow management and optimization, which are essential for effective risk control and financial analysis.