I am a Professional Statistician with Specialization in Financial Risk Management and Magister in Business Intelligence. With experience in interdisciplinary work, especially in Risk Management in Banking, which includes: the development and implementation of statistical methodologies, models for analysis and data mining, financial risk analysis, recovery management, development of normalization strategies, monitoring , measurement and control of Processes through on-line dashboards. With a high sense of responsibility, leadership and willingness to learn. With good management and knowledge of statistical software, databases and a large interest in the developments of Big Data in the analysis of unstructured data- information that thanks to the technological advances are nowadays. With conceptual clarity in programming logic, which provides tools for reading, creating, processing, storing, retrieving data and optimizing processes.