Financial Management I (FZ) Financial Mathematics (MF)
PhD in Economic and Business Sciences (1993) from the Universitat de Barcelona and a Bachelor Degree in Economic and Business Sciences (1988) and Insurance Actuarial Sciences (1988) from the same university. Dr. Tomàs has taught at the Universitat de Barcelona, the Universidad de Guadalajara (Jalisco, Mexico), the Instituto Tecnológico de Estudios Superiores de Monterrey, at the Guadalajara campus (Jalisco, Mexico), the Aita Academy (Singapore), the Universitat Pompeu Fabra, the Escuela Superior de Comercio Internacional and the Universitat Autònoma de Barcelona, among others. She has worked designing life insurance products for several institutions in the sector, while also working as a pension consultant and legal expert for assessing compensation in cases of accidents and evaluating pension commitments. She has been involved in four books produced by various authors, always on topics related to insurance within business management. She is currently a qualified actuary and member of the Instituto de Actuarios Españoles.
Financial Management II (FZ2) Financial Markets and Instruments (MIF)
Martín Pachamé has a Bachelor Degree in Economic and Business Sciences from the Universitat de Barcelona (1998), a Master in the EU (UNED) (2013), an Executive MBA from ESADE (2003) and a Postgraduate Degree in Liquidation Administration from the University of Vic (2011). He is currently studying for his PhD at the UNED. Since 1995, he has been an Associate Professor at EAE, giving training on his speciality of Finance on the Bachelor Degree and Master programs in Spanish and English. He also lectures at the UNED and La Salle. He has made presentations at international congresses and has taken part in several research projects.
As well as his academic pursuits, his professional experience has been linked to the financial sector. He has overseen a number of successful projects at financial institutions such as B&T Asociados Financieros, Hermes Bolsa AV, GVC SV, Credit Suisse and more recently at Medivalor Agencia de Valores, where he is the General Director.
Financial Management I (FZ)
Economist and Bachelor Degree in Business Administration from the Universitat de Barcelona. He is currently studying for his PhD. Master in Research into Finance and Insurance Companies from the Universitat de Barcelona, 2012. He works as the General Director of the Fundación ICIL. His previous positions include the Director of International Programs at EAE Business School for twelve years (1999-2012). He designed the Master programs taught in English at EAE and developed the MBA with specialisations. He has lectured on finance since 1999 at the EAE University Centre (Universitat Politècnica de Catalunya), the Instituto de Formación Continua IL3-UB (Universitat de Barcelona) since 2010, and also on a number of other Master programs at different business schools, such as EAE Business School, since 1999, and OBS Online Business School, since 2009. He was a member of the scientific committee for the SONRISA Conference 2006, the Second International Conference of Students of Sports, Tourism and Leisure. He has written several articles and special-focus essays in various journals, as well as helping to draft 10 course books at EAE Business School related to economic and financial aspects of companies.
Financial Management I (FZ) Financial Management II (FZ2) Financial Markets and Instruments (MIF)
PhD and Bachelor Degree in Actuarial and Financial Sciences. Master in Stock Markets and Financial Derivatives. University Diploma in Business Sciences. He currently lectures on management and finance at universities and business schools, and he is a financial and business consultant and member of a number of boards of directors. He has held executive positions in various financial, insurance, real estate and higher education companies. He is a member of the European Academy of Management and Business Economics, full member of the Instituto de Actuarios Españoles and Secretary of the Company Valuation Commission of the Associació Catalana de Comptabilitat i Direcció.
José Antonio Lanau
Financial Mathematics (MF) Corporate Finance Managing Risk in International Finance
José Antonio Lanau is an economist, qualified at the Universidad Central de Venezuela (UCV). He went on to gain a Master in Technological Innovation Policy and Management at the Centro de Estudios para el Desarrollo (CENDES-UCV). He is a candidate for the PhD in the Knowledge Economy at the Universitat Oberta de Catalunya (UOC). He worked as a financial analyst at BBVA and as a financial consultant in the business consultancy sector (MERCAT Consultants). He has also worked as a lecturer in the economics, finance departments at a number of international universities and business schools.
Financial Mathematics (MF)
Master of Business Administration (MBA) from Northwood University, USA, Richard Devos Graduate School. Bachelor Degree in Business Administration from the University of Wales, UK. Business Sciences, EUNCET (UPC). Current job: Worldwide Credit Process Consultant at HP Inc. Previous jobs include Team lead EMEA Credit at HP Inc., Credit Analyst for UK & Ireland at HP Inc. and Auditor at PricewaterhouseCoopers