Master's degree ( Quantitative and Computational Finance, Master)
2000 - 2001
Universita degli Studi di Catania (Italy)
Doctoral Studies ( Mathematical Instruments for Economics and Finance)
1997 - 1998
Universidad Autónoma de Madrid
Doctoral Studies ( Theoretical Economics and Quantitative Methods)
1996 - 1997
Universidad Autónoma de Madrid
Economics and Business Studies ( Theoretical Economics, Degree)
1991 - 1996
ESADE Business & Law School
Management Development Program ( Corporate Management)
2003
Ignacio Nunez's Skills
Risk Management
Corporate Finance
Financial Risk
Derivatives
Banking
Business Strategy
Strategy
Financial Analysis
Investment Banking
Project Finance
Ignacio Nunez's Summary
Ignacio Nunez, based in London, Greater London, United Kingdom, is currently a Director of Liquidity and Capital Management at Banco Santander, bringing experience from previous roles at Banco Santander, Bbva and Telefónica. Ignacio Nunez holds a 2000 - 2001 Master's degree in Quantitative and Computational Finance, Master @ Afi Escuela de Finanzas. With a robust skill set that includes Risk Management, Corporate Finance, Financial Risk, Derivatives, Banking and more, Ignacio Nunez contributes valuable insights to the industry. Ignacio Nunez has 2 emails on RocketReach.