Has profound knowledge in mathematics and finance with deeper specialization in econometrics, financial mathematics, forecasting and probabilistic methods of economic forecasting. Has basic knowledge of programming. With the help of this financial background and programming skills mix I developed online product, used for forecasting financial data and risk management, called "FINAZZI" (http://www.bainerwarne.com/), which found demand from both SME companies and large-cap financial corporations (the last use it primarily for the purposes of valuing credit risks of their debtors).
In my career specializing in providing services of capital raising. Participated as a consultant in several M&A and IPO deals, providing services of valuation and financial forecasting, scenario analysis and so forth. After еhe explosive growth of ICO market participated as a financial adviser in several ICO projects (for example: http://belay.insure/), providing services of token (including evaluation of monetary base, token's velocity, etc.) and business valuation, forecasting, scenario analysis, preparing support documents (like financial memo's, market researches, slide decks, etc).
Another sphere of professional interest - risk valuation and management. Specializing in valuation of credit risks (primarily credit risks of financial companies) and managing them I developed FINAZZI toolkit. Today me and my partners are preparing this box decision for implementation in one of top-10 Russian banks and other financial organizations.
Act as an asset manager (primarily event-driven and global macro strategies on the USA equity market): http://wolflinecapital.com/.