Bachelor of Science (B.Sc.) (Mathematics and Statistics w/ European Studies)
1997
-
2001
James Gorst Skills
Aifmd Reporting
Liquidity Risk
Fixed Income
Srri
Wealth Management Services
Lotus Notes
Portfolio Management
Derivatives
Investments
Bloomberg
Risk Reporting
Finance
Energy
AIFMD
Regulatory Reporting
Msci Riskmetrics
Financial Services
Reuters 3000
Equities
Life Insurance
Mutual Funds
Outlook
Management Companies
Microsoft Access
Microsoft Word
Microsoft Excel
Morningstar Direct
UCITS
Risk Management
Applied Mathematics
Financial Analysis
Market Risk
Informatics
Kiid
Financial Markets
James Gorst Summary
James Gorst, based in Luxembourg, is currently a Risk Manager at Danske Invest. James Gorst brings experience from previous roles at FundRock Group, RBS, Enovos Luxembourg S.A. and NPG Wealth Management. James Gorst holds a 1997 - 2001 Bachelor of Science (B.Sc.) in Mathematics and Statistics w/ European Studies @ University of Sussex. With a robust skill set that includes Aifmd Reporting, Liquidity Risk, Fixed Income, Srri, Wealth Management Services and more. James Gorst has 1 emails on RocketReach.
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