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
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