As the Head of Group Treasury at MVM Energetika, I manage and oversee the front office activities of the group treasury, which include cash flow forecasting, liquidity management, cash pool operations, and bank relationship management. I also manage and oversee the FX, commodity, and interest rate hedge operations, as well as the treasury and risk aspects of M&A due diligence activities.
I have more than 25 years of experience in the financial markets, with a proven track record in oil, gas, and emission trading, FX, money market, fixed income, and options sales and trading. I have also held various strategic advisory positions in energy-related M&A projects, and I have extensive knowledge of treasury and risk management systems, legal frameworks, and transfer pricing procedures. My specialties include treasury and risk management, due diligence, forex, fixed income, commodities, and options trading, frame agreement negotiations, and post-acquisition support and advisory. I am passionate about delivering optimal treasury solutions and value-added services to my organization and stakeholders.