- Finance
- Capital Markets
- Quantitative Finance
- +۳ مورد دیگر
Andrej Bajic serves as a Lecturer at Zagreb School of Economics and Management, teaching Financial Institutions and Markets across undergraduate and graduate programs alongside Financial Mathematics at the graduate level. Concurrently, he holds dual industry roles as a Senior Financial Specialist at Deloitte Germany—leading portfolio evaluation teams focused on debt/equity instruments and derivatives—and as an External Consultant at Deutsche Bundesbank. His academic foundation includes a Master of Finance from Frankfurt School of Finance and Management (specializing in capital markets) and a graduate quantitative finance program at Zagreb School of Economics and Management. Undergraduate exchanges at National Tsing Hua University (Taiwan) and European Business School (Germany) enriched his international perspective. Professional expertise spans Finance, Capital Markets, and Quantitative Finance, evidenced by prior roles at KPMG, AVS-Valuation, SCDM Germany, Platinum Invest, and Croatian National Bank. This industry-academia synergy enables practical curriculum integration, particularly in portfolio analysis and financial instrument valuation. Teaching methodology emphasizes real-world applications of financial mathematics and institutional frameworks, drawing directly from active consultancy in central banking and corporate finance. Career trajectory demonstrates consistent alignment between academic instruction and frontline financial practice.
