VP, Portfolio Risk Analyst at Citi
Greater Chicago Area
VP, Portfolio Risk Analyst at Citi
Greater Chicago Area
6 more...
Experienced manager with proven ability to develop successful market strategies. Over 10 years cross-industry experience translating quantitative analysis into focused results. Aspiring to senior manager position in strategy or marketing group of innovative organization.
Marketing strategy, subscriber retention, cross-functional teams, GLBA/SOX/PCI compliance, operational risk, defined benefit pension, data mining, database architecture, financial analysis, economics, modeling, statistics
(Public Company; C; Financial Services industry)
August 2008 — Present (1 year)
Portfolio Risk Analyst with Citigroup Independent Risk Management, focusing on the Private Label cards group.
Identify and deploy strategies to reduce contingent liability for high risk accounts, identify high risk accounts for closure or special treatment.
Use statistical software tools such as SAS in a batch UNIX environment to identify outliers. Perform economic research and publish economic primers on the consumer credit markets.
MBA , International Business/Finance , 2006 — 2008
Recipient of merit-based Rita Keller Fellowship
Study Abroad: Finance and Portfolio Management, Paris 2007
BA , Economics , 1993 — 2005
Major in Economics with minor in Polisci.
Undergraduate thesis: Developed an index of a nation's infrastructure to use as a modifier in the neoclassical growth model to predict an increase in GDP based upon an increase in infrastructure investment
Visit http://web.mac.com/civan93/iWeb/obscurityBlog/Econoblog/Econoblog.html for more information on my research