Associate professor at ESCP-Europe, Lasalle, IGS, Instituto de Estudios Bursátiles (IEB), AFundación Business School, Institut d’Estudis Financers and in-company trainer. Teaching both in Spanish and English

TEACHING EXPERIENCE

Companies and Institutions
  • McDonald´s, Total, Altadis, British Telecom, Grupo Sener, ATOS-Origin, Orange, Técnicas Reunidas, Repsol, Foster Wheeler, Prosegur, Randstad:  teaching Financial Management (2001-2016)
  • Santander, BBVA, Banesto, Banco Urquijo, Bankinter, Banc Sabadell, Banco Gallego ,Banca Mediolanum, La Caixa, Caja Madrid, Kutxa de San Sebastián, Caixa de Cataluña, Ibercaja, Caixa Galicia, Caja Cantabria, Caja Rural de Granada, Caja Rural de Toledo, Caja Laboral, Banif, Morgan Stanley, Lloyds Bank, Deutsche Bank, Banco Espirito Santo, Credit Agricole, Fidelity, Renta 4, Safei, Altae, Inversis, Reale, Mutuactivos, Generalli, Allianz, Bolsas y Mercados Españoles, 2002-2016.Various in-company activities related to the following subjects:
  • Financial Risk: Derivative Instruments
  • Investment Banking
  • Markets: Fixed Income, Swaps, Foreign Exchange, Equity
  • Mutual Funds
  • Financial Analysis. Business Valuation
  • Mathematics and Statistics for Finance
  • Macroeconomic Environment
  • Country Risk
  • Portfolio Management
  • EFA (European Financial Adviser) exam simulation
  • Credit Risk for Treasury Products.
     
  • Enerclub. 2005-2016: Advanced course in Energy Finance: Financial Planning. Business Valuation and Investment Projects. Advanced course in The Energy Business.  Business Valuation.
  • Comunidad de Madrid / Fondo Social Europeo. 2000-2006: Company Creation Support Programme.  Customised training and mentoring for entrepreneurs.  Course in Integral Business Management for Enterpreneurs. Finance for Entrepreneurs. Creation and Management of SMEs. 2004 -2006 Financial Planning for New Technology-based Businesses.  
  • Madrid Chamber of Commerce. 2000-2001: Credit Management Techniques for Clients

Business Schools and Universities

  • ESCP-Europe: 2006-2016: IMBA, IMFM, GMP, MPM, MHM: Business Valuation. Financial Markets. Financial Strategy. Corporate Finance.
  • IEB: 2008-2016. MSc in Corporate Finance and Investment Banking. Derivatives Applied to Corporate Finance. Certificate of Specialist in Derivative Products. 2012-2015 Foreign Exchange Derivatives
  • IEDE: 2001-2012: MBA, IMBA, MDF, EMBA, MUCREI: Securities Market. Financial Markets. Corporate Financial RiskBusiness Valuation. Financial Accounting. Financial Management. International Finance.
  • Real Madrid University Studies School: 2010-2013 Master in Sports Management. Corporate Finance and Valuation of Sport Projects.
  • Lasalle IGS:  2010-2016. MFM, MPM, MGI. Finance.
  • AFundación Business School: 2014-2016. MIB. International Finance. MEDF. Financial Mathematics and Statistics.
  • IDE-CESEM: 1993-2012: MDF, MBA: Capital Markets. Derivative Instruments. Treasury Management. Investment Analysis. Financial Management.  Business Plan Simulation.
  • ADM Business School: 2005-2009: MBA, Executive MBA and MDF: Risk Management. Financial Markets and Products. Business Valuation. Management Control.  Financial Planning.  
  • Universidad Autónoma de Madrid: 1996-2002: Cooperative Education Programme, Faculty of Psychology. Finance for non-financial peopleTraining for Entrepreneurs.
  • Universidad Interamericana de Costa Rica. 2006: MBA: Financial Management II.
  • Universidad Peruana de Ciencias Aplicadas. 2007-2009: MBA: International Finance.
  • Universidad de las Américas, Ecuador: 2007. MBA: Financial Markets and Investment Opportunities.
  • Universidad del Valle de Méjico. 2012. Management Accounting
  • CIFF: 2004: Master Financial Agent: Financial Mathematics. Foreign Exchange Market.
  • FEF-ASSET: 2005-2006: Specialisation course in Financial Management and Company Treasury. Cost Analysis of Bank Operations.​
  • ICADE: 1988-1992: Master in Financial Economics. Stock Market Analysis. Financial-Economic Management Programme: Analysis of Financial Statements.

FINANCIAL COACHING

  • Multinational in the Real Estate Sector. 2005. Financial coaching for the CEO in Madrid.
  • Multinational in the Biomedical Sector2007-2008. Financial coaching for the Country Manager in Madrid.
  • Financial Institution. 2008-2009. Coaching for the middle office in the Treasury Area

 

PROFESSIONAL EXPERIENCE

  Incompany S.L                                                                 Managing Director (Current)

Incompany creates and conducts tailored training programs for managers, professionals and new business owners in the financial area.

  Banco Santander                  

Santander Financial Products (SFP)Controller (June 1999- March 2000)

Structured Derivatives. In charge of Operations (back office) and Accounting areas. Reengineering the workflow, resulting in productivity gains of 40%.

Banco Santander New York     Market Risk and Operations Manager (July 1997- May 1999)                                                                                                                                Market Risk Manager for Treasury areas, Emerging Fixed Income Markets, Equity, High Yield/Distressed Debt and Hedge Funds.  In the last year I developed the additional role of interim Operations Manager of the Emerging Fixed Income Markets area, where I restructured the organisational processes in order to increase operational productivity.

Market Risk Management Research and Development Manager (January 1997- June 1997)

Designing Banco Santander S.A.’s liquidity management system. Developed computerisation and financial specifications for the daily calculation of “Greeks” to control risk options.

Treasury Management  Account Executive (June 1995- December 1996)

Structuring and selling interest rate risk coverage and foreign exchange risk coverage to the network’s middle market companies.  

Internal Audit Management International Treasuries Area Manager (June 1992- May 1995)

In charge of the internal audit of Banco Santander and Banesto’s International Treasuries

Banco Zaragozano

Gesbanzano S.G.I.I.C. Deputy General Manager (June 1990- June 1991)

I was responsible for the areas of Financial Analysis and Marketing for the Investment Fund Manager.

Caja de Madrid. Finance Corporation

Gesmadrid Patrimonios S.G.C.  Manager (June 1989- May 1990)

Gesmadrid S.G.I.I.C. Head of Analysis and Investment Management (June 1988-May 1989)

Banco Atlántico

Capital Markets ManagementInvestment Analyst (June 1987- May 1988)

Main branch in Madrid Sales Officer (June 1986- May 1987)

INTERNATIONAL PROFESSIONAL QUALIFICATIONS

  • CIIA (Certified International Investment Analyst)
  • EFA (European Financial Adviser)

UNIVERSITY EDUCATION

  • PhD in Corporate Finance UCM (2009-2015)
  • MSc in Trade and International Economic Relations, UEM (2007-2008)
  • MSc in Human Resources Management, CEF (1993)
  • BSc in Applied Economics UCM (1980-1985)
  • Certificate in Advanced Corporate Finance. London School of Economics – Summer School (2010)
  • Certificate in Linear Regression Analysis. London School of Economics – Summer School (2012)
  • Certificate in International Economics. London School of Economics – Summer School (2015)

LANGUAGES

  • English:  Proficient. Teaching in this language
  • French:   Basic

Professional Associations

  • Instituto Español de Analistas Financieros (Spanish Institute of Financial Analysts), board member between 1989-1991.
  • European Financial Planning Association (€FPA)

Search the faculty

Display:
7 publications

Academic Articles

2017

SÁNCHEZ VERDASCO, J.

An Algebraic Model for Hedging Equity Index Portfolios with Stock Index Futures. Evidence from the IBEX 35

JOURNAL OF INSURANCE AND FINANCIAL MANAGEMENT, 2 (5), 1-52

Case Studies

2017

SÁNCHEZ VERDASCO, J

Mercadona a Global Corporate Finance Case: Teaching Note

The Case Center, 117-0022-1

Academic Articles

2016

SÁNCHEZ VERDASCO, J.

Stock Market Efficiency Under the Cost of Carry Model. Evidence from the IBEX 35

JOURNAL OF INSURANCE AND FINANCIAL MANAGEMENT, 2 (2), 18-33

PhD / HDR Dissertation

2015

SÁNCHEZ VERDASCO, J

Cobertura de Carteras Índice de Renta Variable con Futuros sobre el IBEX 35

Universidad Complutense de Madrid

Books

2013

SÁNCHEZ VERDASCO, J., J. MARÍA REVELLO DE TORO Y CABELLO

Manual de Corporate Finance y Banca de Inversión

Rústica, 619

Other Intellectual Contributions

2005

SÁNCHEZ VERDASCO, J.

El crédito a clientes: efectos en la financiación y en la rentabilidad (Credit for Clients: Impact on Financing and Profitability

ESTRATEGIA FINANCIERA, 21.4

Other Intellectual Contributions

2003

SÁNCHEZ VERDASCO, J.

Cómo Evaluar los Resultados de la Formación (How to Evaluate Training Outcomes)

NUEVA EMPRESA, 474