Jobs
International Monetary Fund, Washington, Oct 2023 – present
Financial Sector Expert
Financial Sector Assessment and Policies Division
Bank of England, London, Aug 2017 – Oct 2023
Senior Economist (2021 - 2023) – Financial Stability Directorate
System Wide Exploratory Scenario (SWES)
Stress test model manager (credit risk, feedback and amplification, financial markets models)
Research Economist (2017 - 2020) – Prudential Policy Directorate
Liquidity regulation
University Paris I Sorbonne, Paris, April 2018 – Dec 2022
Invited Lecturer – Master “control des risques bancaires et conformité”
teaching a three-days course to graduate students on financial stability and monetary policy
European Central Bank, Frankfurt, Sept 2016 – Mar 2017
PhD Intern – Macrofinancial Linkages Division
Participating to the development of the liquidity stress test component of the macroprudential stress test by assessing the link between banks’ credit worthiness and banks’ funding costs
Bank of England, London, Jun – Aug 2016
PhD Intern – Prudential Policy Directorate
▪ Research project on the impact of group diversification on holdings' capital
University Paris I Sorbonne, Paris, Jan 2012 – May 2016
Teaching Assistant
Courses taught: Monetary Policy and Financial Mutation, Monetary and Financial Economics, Mathematics, International Monetary Relations (Undergraduate and Graduate level)
Société Générale, Paris, Jun 2011 – Dec 2011
Intern in the Economic Research Department
Education
PhD in Macro-Economics, University Paris I Sorbonne, Paris, 2012 – 2017
Thesis: “Stress testing the banking system: towards a more macroprudential approach”
M.Sc. in Economics and Econometrics, University Paris I Sorbonne, Paris, 2010-2011
Thesis: “Banking Fragility and Structure of the Financial Market”, Paris Europlace Award for best Master Thesis