M.Sc Mehdi Rahimi
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Summary

M.Sc Mehdi Rahimi is an accomplished financial professional with extensive education and experience from prominent organizations in the field. He completed his Bachelor of Business Administration (B.B.A.) in Finance, General from HEC Montréal and later pursued a Graduate Diploma (DESS) in Financial Derivatives at Toronto-Montreal Stock Exchange under the partnership of ESG-UQAM. Mr. Rahimi later received a Master of Science (M.Sc.) in Finance - Portfolio Management at ESG-UQAM.

With his in-depth knowledge and expertise in financial markets and credit risk, Mr. Rahimi quickly advanced his career at the National Bank of Canada, starting as an intern in the Middle Office to gradually attaining the role of Senior Manager - Financial Markets and International Division - CRM. He also served as a Chief Analyst - Credit Risk and a Manager - Financial Markets and International Division-CRM throughout his tenure with the Bank. In addition to his professional pursuits, Mr. Rahimi also has experience as an Assistant Lecturer at the Université du Québec à Montréal.

Mr. Rahimi's expertise is highly valued, and he is known for his ability to understand complex financial instruments, analyze financial trends and deliver results, and manage financial risk. Mr. Rahimi's interests lie in exploring cutting-edge financial market methodologies, and his experience in both the academic and professional spheres makes him a well-rounded and accomplished financial professional.

financial marketscredit riskportfolio managementfinancial derivativesfinancial instrumentsrisk management
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InfoThis public profile is provided courtesy of Clay. All information found here is in the public domain.