Strong academic background with double bachelor degrees of Economics and Mathematics from Boğazici University, dual master degrees in Economics from Bilkent and Tilburg Universities. PhD in Economics from Tilburg University.
Experienced economist with more than 11 years of technical and research experience, and with expert knowledge on monetary policy implementation, money market instruments and fixed income.
Portfolio Manager, Credit Risk and Market Risk Analyst for identifying the different sources of risk during the reserve management process.
Treasury Auctions Expert for implementing government financing strategies and treasury auctions.
Expert in using Bloomberg and Thomson Reuters for market monitoring, analyzing and data purposes.
Proficiency in employing econometrics package programs of Eviews and Stata, and MS Office programs.