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    Ruslan Sergeyev

    Senior Vice President, Venture Debt at Square 1 Bank

    Ruslan Sergeyev is a seasoned finance professional with a strong educational background in Finance from Penn State University. With a career spanning various financial institutions, Ruslan has garnered extensive experience and expertise in venture debt, direct lending, leveraged finance, investment banking, and capital markets.

    Currently serving as the Senior Vice President of Venture Debt at Square 1 Bank, Ruslan oversees strategic initiatives and financial operations to support the growth and development of businesses. Prior to this role, he held the position of Vice President in the same department, demonstrating his progressive growth within the organization.

    Before joining Square 1 Bank, Ruslan honed his skills at Golub Capital as a Senior Associate and Associate in Direct Lending. His tenure at Golub Capital provided him with valuable insights into credit analysis, deal structuring, and risk management in the lending sector.

    Ruslan's early career includes positions at Bank of America Merrill Lynch, where he served as a Leveraged Finance Analyst and Investment Banking Analyst. These roles equipped him with a solid foundation in financial analysis, market research, and transaction execution within the investment banking landscape.

    Furthermore, Ruslan Sergeyev's experience extends to his internships at Bank of America, where he gained exposure to equity-linked capital markets and corporate finance. Additionally, he has enriched his knowledge through a corporate finance internship at Johnson & Johnson, further diversifying his industry expertise.

    Overall, Ruslan Sergeyev's dynamic career journey reflects his dedication to the finance sector and his continuous pursuit of excellence in various financial disciplines.

    Ruslan Sergeyev's professional trajectory showcases his expertise in venture debt, direct lending, leveraged finance, investment banking, capital markets, credit analysis, deal structuring, risk management, financial analysis, and market research.