Experience
September 2022-
PhD candidate Paris Nanterre University, Paris (France)
Subject: Monetary policy, Financial stability and Spillovers
Chapter 1: Monetary policy, solvency and profitability of life insurers in a low yield environment
Chapter 2: Money talks: impact of remittance flows in monetary policy autonomy of emerging countries
Chapter 3: Sovereign default and monetary policy in emerging countries
Teaching assistant (September 2022- July 2023):
Introduction to econometrics and data analysis - Master management du risque et de l'innovation en assurance (MRIA)
September 2020- August 2022
Direction Générale du Trésor, French Treasury, Mexico City (Mexico)
Economic and Financial Attaché at the Regional Economic Service of the French Embassy in Mexico
Analysing and overseeing the macroeconomic performances of Mexico and Central American countries (Guatemala, Honduras, El Salvador, Nicaragua and Costa Rica).
Drafting reports on regional economic affairs such as public debt, remmittances or the informal sector.
Contributing to the Treasury's positions on IMF, OECD and multilateral banks' projects and programs in these countries.
Coordinating a cooperation project between France and Mexico on the fiscal and customs pilars, in association with the French Development Agency.
Contributing to the bilateral economic and financial dialogue between France and Mexico.
January 2020- August 2020
BNP Paribas - Corporate and Investment Banking (CIB), Paris (France)
Intern at the credit risk department
Credit risk analysis of EMEA insurance sector
Annual reviews of entities (Rating, financial and qualitative analysis)
Monitoring of new and existing financial regulations (as Solvency II for instance)
Analysis of macroeconomic environment (impact of low-yield environment on insurers, assessing the impact of Covid-19)