Credentials:
BSc Economics from University College London and MSc Banking & Finance from Cass Business School. Over 17 years in the UK academic environment with more than 2,700 completed assignments for undergraduate, postgraduate, and master’s students.
Focus areas:
Specialises in finance, economics, derivatives, hedging, corporate financial analysis, and econometrics. Highly experienced with dissertations, quantitative problem sets, investment strategy, and applied financial modelling.
Experience:
Has written and supervised hundreds of finance and economics dissertations, consistently producing work at 2:1 and First-class levels. Strong record in urgent assignments, often completing briefs in under 24 hours while maintaining high academic quality. Skilled in business plans, financial forecasting, credit derivatives, and applied risk management projects.
Technical expertise:
Advanced user of EViews, Stata, SPSS, R, R Studio, and Matlab. Experienced in quantitative data analysis, regression modelling, portfolio optimisation, and econometric forecasting. Comfortable with large datasets and empirical finance research.
Approach:
Known for speed, accuracy, and reliability. Delivers clear, well-referenced model assignments that combine rigorous financial analysis with accessible explanations, giving students a strong foundation for their own work.