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Meher LejriML

Meher Lejri

Financial and Strategic Consulting

€389/day
Paris, FR
3-7 years

Average response time: 1 hour

Freelancer profile translated to English.
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About Meher

Freelance consultant with +4 years of experience in international financial institutions (IFC - World Bank), asset management, and consulting. I support financial departments and funds in their performance projects (FP&A, budget management), financial modeling, business plans, automated reporting (Excel/VBA/Python), project evaluation, financial process transformation (record-to-report, digitalization, BI), as well as risk and financial data analysis to support strategic decision-making.
  • French

    Native or bilingual

  • English

    Native or bilingual

  • Arabic

    Native or bilingual

Can work on-site
Paris (up to 50km)

Experience

  • International Finance Corporation (IFC),
    Financial and Strategic Consultant
    BANKING AND INSURANCE
    April 2024 - Today (2 years and 2 months)
    Paris, France
    ○ Conducted in-depth economic analyses of emerging markets to identify investment opportunities.
    ○ Evaluated development projects for potential financing, analyzing their economic viability and impact.
    ○ Collaborated with multidisciplinary teams to develop financial models and conduct risk assessments.
    ○ Prepared detailed reports and presentations for management and project teams.
    ○ Monitored economic trends and policy changes affecting emerging economies to inform investment decisions.
    Analyse de risques Analyse financière Analyse de données
  • ASSET ACTIVE ALLOCATION,
    Portfolio Management Operations and Quantitative Research
    CONSULTING AND AUDITS
    March 2023 - September 2023 (6 months)
    Nice, France
    ○ Developed innovative investment solutions to improve portfolio performance while controlling risk exposure.
    ○ Conducted in-depth stochastic studies, backtesting, and quantitative modeling to validate and optimize investment strategies.
    ○ Performed in-depth analysis of portfolio risks using advanced methodologies such as Value-at-Risk (VaR), extreme scenarios (stress tests), and sensitivity analyses.
    ○ Developed automated digital tools for performance monitoring and continuous risk assessment, thereby increasing operational efficiency.
    ○ Prepared monthly commentary on financial markets, integrating macroeconomic analysis, performance of managed assets, and risk indicator evolution.
    Gestion de portefeuille Analyse de risques
  • La Francaise Asset Management,
    Strategic and Corporate Development
    CONSULTING AND AUDITS
    March 2021 - September 2021 (6 months)
    Paris, France
    ○ Detailed analysis of financial product ranges in terms of profitability, net inflows, and risk-adjusted performance.
    ○ In-depth strategic study for the launch of new financial and real estate investment products, including market analysis, competitive positioning, and integration into the existing range.
    ○ Carried out comprehensive business plans with forward-looking financial modeling, sensitivity analysis, feasibility studies, and adapted pricing recommendations.
    ○ Collaborated with management and risk management teams to ensure new products complied with internal policies and current regulatory standards.

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Education

  • Licence en Management
    Universit´ e Paris-Dauphine
    2019
    Licence en Management
  • Bloomberg Market Concepts (BMC), Certification Python
    Bloomberg Market Concepts (BMC), Certification Python

Skill set

Categories