Budi appears to be a highly qualified and experienced finance lecturer with a strong focus on financial analysis and risk management. His expertise and teaching approach make him a valuable asset for professional participants, businesses, and the financial community as a whole.
Areas of Expertise:
- Financial analysis: Deep understanding of financial statements, valuation techniques, and performance metrics. Proficiency in analyzing companies, industries, and markets.
- Financial risk: Strong knowledge of risk management principles, quantitative risk measurement tools, and risk mitigation strategies. Experience in assessing different types of financial risks, including credit risk, market risk, and operational risk.
Education:
2005‐2006 Master of Management, Majoring in Finance in Prasetiya Mulya Business School, Jakarta