Sergii

Chebotar Sergii

Specialist in software development and investment banking
Sergii has been working on the UBS IB projects at Luxoft for more than two years. During this time he has had several roles such as Senior Developer, Team Leader, On-Site Project Coordinator and Business Analyst. The range of the projects he has been involved in has been changing as well, including Risk Management software for Fixed Income and Structured Rates/Credit, and Counterparty Risk.

His day-to-day responsibilities, as a Developer and an Analyst, include coordinating the requirements gathering process from initiation through clarification and formalization to actual features implementation and acceptance testing, as well as maintain communications mainly with Front Office and Derivative Middle Office teams.

Sergii's education includes a Master’s degree in Computer Science and Finance from the National Aviation University in Kiev. His area of interest also includes Quantitative Finance as a whole and Fixed Income/Equities Derivative valuation in particular, as well as Counterparty Risk. Currently Segii is participating in CFA Program and is the CFA Level 2 Candidate.

Sergii has been working on the UBS IB projects at Luxoft for more than two years. During this time he has had several roles such as Senior Developer, Team Leader, On-Site Project Coordinator and Business Analyst. The range of the projects he has been involved in has been changing as well, including Risk Management software for Fixed Income and Structured Rates/Credit, and Counterparty Risk.

His day-to-day responsibilities, as a Developer and an Analyst, include coordinating the requirements gathering process from initiation through clarification and formalization to actual features implementation and acceptance testing, as well as maintain communications mainly with Front Office and Derivative Middle Office teams.

Sergii's education includes a Master’s degree in Computer Science and Finance from the National Aviation University in Kiev. His area of interest also includes Quantitative Finance as a whole and Fixed Income/Equities Derivative valuation in particular, as well as Counterparty Risk. Currently Segii is participating in CFA Program and is the CFA Level 2 Candidate.

  • Fixed Income Derivatives
  • Equity Derivatives
  • Counterparty Risk
  • Quantitative Finance
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