Motivated finance postgraduate with strong academic and analytical background. Seeking an entry-level role in financial analysis, reporting, or business intelligence to apply my skills in Power BI, Tableau, and accounting tools. Committed to continuous learning and delivering results in dynamic work environments.
Portfolio Management with Reference to Trent Ltd, Analyzed risk-return characteristics of multiple securities using the Markowitz model to construct an optimal investment portfolio. Applied financial tools such as standard deviation, correlation, and portfolio variance to minimize risk and maximize returns. Evaluated portfolio performance using risk-adjusted metrics to guide investment decisions.
I hereby declare that the information above is true to the best of my knowledge.