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    Stan Krastev

    Finance / Risk Management

    Stan Krastev is an experienced finance professional with a strong educational background. He holds an MBA with a focus on Finance and Investments from the University of California, Los Angeles, The Anderson School of Management, as well as a degree in Finance and Investments from Rowan University.

    Stan has worked in various finance and investment management roles in prestigious organizations. He is currently serving in the Investment Management Finance department at Bank of America. Previously, he held positions in Treasury and Capital Management at Bank of America, Risk Management at Deutsche Bank, Institutional Securities Group at Morgan Stanley, and Investment Management at JPMorgan Chase.

    Throughout his career, Stan has taken on roles of increasing responsibility. His past experiences include serving as Vice President at BTMU Capital Corporation, AVP in Portfolio Management as well as Quantitative Risk Management at Bank of America, Financial Analyst at Morgan Stanley, and Financial Advisor at Morgan Stanley Wealth Management.

    His diverse background across different financial functions and institutions has equipped him with a well-rounded skill set and a deep understanding of the finance industry.

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    Location

    New York, New York, United States