Professional with two degrees in mathematics applied in finance, with significant experience in researching, analyzing and applying mathematical concepts/models to real-world problems in field of finance.
Over 9 years of experience as Market Risk Manager covering US and Canadian Mortgages at ...
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Professional with two degrees in mathematics applied in finance, with significant experience in researching, analyzing and applying mathematical concepts/models to real-world problems in field of finance.
Over 9 years of experience as Market Risk Manager covering US and Canadian Mortgages at Bank of America in NYC, which required active work with trading desk on new products/trade review, daily risk monitoring (VaR, P&L explain, limits, stress testing, tail risks) and active work with financing team to review requests for warehouse lending facility (proposing appropriate haircuts) and ABS financing/backstop. This experience was followed by almost a year working for SVB (which was further acquired by FCB) as Sr Manager in Financial Risk Management team, covering trading book out of Houston, TX. I was primarily hired to help build risk management processes in preparation for Market Risk Rule and SR 11-10 compliance. After that I joined Aramco Trading Americas as Risk Process Lead
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