Kremena Mironova
A multi-lingual and highly educated Investment, Restructuring and Portfolio Management professional with quantitative and qualitative skill sets, and the ability to dive into detail and draw larger conclusions. Broad experience in financial services across various geographies (Eastern Europe, UK and USA). An independent thinker who enjoys solving problems and relishes the challenge to create a wide range of solutions.
Key technical skills include company and asset valuations, financial analysis and portfolio management, debt restructuring and understanding of the insolvency process and intercreditor issues. Capital and liquidity portfolio management, and thorough understanding of the impairment forecasting process for both wholesale and retail portfolios complement the skills set.
Calm and composed with an underlying drive and focus. Excellent and proven problem solving skills in distressed environments.