Mr. Lazarov has over 15 years of experience in valuation advisory spanning from pre-revenue start-ups to late-stage, middle market companies for a variety of purposes including management planning, financial reporting, mergers and acquisitions, tax and regulatory compliance, restructuring and reorganization, and corporate strategy. His experience includes performing valuations of businesses, business interests, financial instruments including equity, fixed income, and complex derivative securities, and intangible assets. Mr. Lazarov has served clients across a broad range of industries with concentration in the life sciences, technology, and software space.
Prior to joining VRC, Mr. Lazarov was a manager at RSM US. While in this role he performed valuations for tax reporting, financial reporting and strategic planning purposes including fixed income securities, options, warrants and other derivatives using OPM, Monte Carlo and Binomial Models. He was a lead valuation analyst at Axiom Valuation where he led multiple ASC 805 and ASC 718 engagements and executed business enterprise valuations. He also led positions at John Hancock Financial Services and KPMG, LLP.
He earned a bachelor’s of science in finance from University of Economics in Bulgaria and an MBA with a dual concentration in finance and strategy from Boston University. In addition, he holds the designation of chartered financial analyst (CFA).