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Petar Marković
Vice President, Investment Banking - Corporate Derivative Analytics at Goldman Sachs
Petar Marković is a highly accomplished professional with a robust educational background and extensive experience in the finance and investment banking sector.
He holds a Master of Business Administration (M.B.A.) from Columbia University - Columbia Business School, showcasing his commitment to academic excellence.
In addition to his MBA, Petar also pursued a Master's Degree and an Engineer's Degree at the prestigious University of Belgrade, underlining his dedication to continuous learning and skill development.
His career at Goldman Sachs is illustrious, where he has held various key positions such as Vice President in Investment Banking - Corporate Derivative Analytics, Vice President, and roles in Financial Modeling. His tenure at one of the leading investment banks highlights his expertise and proficiency in financial analysis, risk modeling, and strategic decision-making.
Petar Marković's professional journey includes significant roles such as Senior Analyst/Associate, Associate, and Analyst/Senior Analyst in Financial Modeling at Goldman Sachs, where he honed his analytical skills and financial acumen.
Moreover, his experience as a Summer Analyst in Risk Modeling reflects his versatility and adaptability in handling diverse challenges within the finance domain.
With his wealth of experience and educational background, Petar Marković stands out as a seasoned professional with a deep understanding of investment banking, financial modeling, and risk management.
His strategic insights and expertise make him a valuable asset in the finance industry, setting him apart as a trusted leader and resource in the field.