career advices
do you think that having 2 years of previous fixed income structuring experiences and some 5 years of risk management expereinces(market & credit) since then, still have a chance to come back to front-office or work as a portfolio manager? Or the only reasonable perspective is to stay in risk for ever or moving to general management?
Appreciate any thoughts! Thanks
Depends a lot on where you are or where you're going. Some banks are far more conducive to internal mobility than others.
Ex atque laboriosam aut. Commodi doloremque eos inventore voluptas sunt dolor. Suscipit non minima nemo molestiae. Aut ut labore quia dicta cumque ducimus asperiores illum.
See All Comments - 100% Free
WSO depends on everyone being able to pitch in when they know something. Unlock with your email and get bonus: 6 financial modeling lessons free ($199 value)
or Unlock with your social account...