PRMIA Company
Industry: Non-profit organization
DescriptionThe Professional Risk Managers' International Association is a professional organization focused on the "promotion of sound risk management standards and practices globally", and "the integration of practice and theory"; it was founded in 2002 as a non-profit. Founded: 2002 Type of business: Professional association
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PRMIA Employees
Capital Framework Advisors LLC January 2003 - Present
PRMIA July 2002 - Present
Capital Markets Credit Analysts Society, CMCAS September 1994 - Present
GARP January 2009 - Present
Risk Management Association NY Chapter September 2009 - September 2011
Financial Standards Foundation January 2010 - March 2011
Standard & Poor's 2003 - 2009
SIFMA, formerly The Bond Market Association 2003 - 2006
Bond Market Association 2003 - 2006
International Monetary Fund March 2002 - August 2002
Skills
Country Risk, Sovereign Debt and Risk..., Global Business..., Regulatory Risk and..., Enterprise Risk..., Global Complex..., Professional..., Operational Risks, global credit and..., Risk Management, Debt, Capital Markets, Risk, Research, Country Risk Analysis, Credit Risk, Financial Risk, Operational Risk, Economics, Financial Markets, Due Diligence, Credit Analysis, Risk Analysis, Emerging Markets, Corporate Finance, Fixed Income, Financial Analysis, Portfolio Management, Bonds, Structured Finance, Credit, Equities, Banking, Finance, Securities, Strategy, Financial Services, Hedge Funds, Market Risk, Valuation, Financial Institutions, Trading, Financial Modeling, Executive Management, Private Equity, Alternative Investments, Derivatives, Financial Structuring, FX Options, Structured Products
Education
New York University - Leonard N. Stern School of Business 1978 — 1981
MBA, Finance, Economics
University of Oklahoma 1969 — 1975
BA/BS, Math, English, Psychology
McGuire Performance Solutions, A MountainView Company September 2014 - Present
CFA Society Indianapolis July 2014 - Present
PRMIA January 2013 - Present
PNC August 2012 - September 2014
JPMorgan Chase December 2010 - August 2012
The Capital Markets Company January 2010 - December 2010
Ball State University 2008 - 2010
STAR Financial Bank 2009 - 2009
Banco Popular North America 2007 - 2009
BNK Advisory Group 2003 - 2007
Skills
Financial Risk, Risk Management, Financial Modeling, Finance, ALM, Financial Services, Interest Rate Risk..., Fixed Income, Financial Analysis, Valuation, Market Risk, Funding, Financial Risk..., Bloomberg, Basel II, Quantitative Analytics, Strategic Financial..., Loans, Liquidity Management, Basel III, Non-Maturity Deposit..., Balance Sheet..., Liquidity Risk, Stress Testing and..., Mortgage Prepayment..., Risk-Based Capital..., Model Risk Management..., Funds Transfer Pricing, BOLI Cash Flow..., ICAAP, CCAR, DFAST, Model Validation, Banking, Capital Markets, Credit Risk, Derivatives
Education
Penn State University
Graduate Certificate
La Salle University
MBA
Franklin & Marshall College
AB
The Philipp University of Marburg
PRMIA September 2006 - Present
Skills
Market Risk, Enterprise Risk..., Risk Management, Financial Risk, Portfolio Management, Credit Risk, Training, Derivatives, Banking, Operational Risk..., Credit Analysis, Fixed Income, Capital Markets, Operational Risk
Education
Bethel University 2000 — 2004
BS, Finance
PRMIA February 2013 - Present
Marathon Multimedia August 2005 - January 2013
Skills
Project Management, Account Management, Management, Marketing, Leadership, Project Coordination, Access, Volunteer Management, SharePoint, Market Research, Analysis, Data Analysis, Budgets, Microsoft Excel, Team Leadership, Financial Modeling, Customer Service, Microsoft Office, Strategic Planning, Finance, Risk Management
Education
University of Iowa 2001 — 2005
B.A., Economics
Northfield High School
California Academy of Sciences December 2013 - Present
The Governance Fund Advisors, LLC February 2009 - Present
Hass School of Business, UC Berkeley March 2008 - Present
Fannie Mae July 2005 - February 2008
PRMIA 2003 - 2005
Barclays Global Investors 1997 - 2004
Federal Reserve Bank of San Francisco 1993 - 1997
Unocal Corporation 1967 - 1992
Skills
Internal Audit, Risk Management, Operational Risk..., Financial Analysis, Credit Risk, Enterprise Risk..., Financial Risk, Governance, Risk Assessment, Corporate Governance, Portfolio Management, Capital Markets, Hedge Funds, Derivatives, Banking, Leadership, Operational Risk, Financial Services, Due Diligence, Auditing, Internal Controls, Asset Management
Education
San Francisco State University
PRMIA District Sales ManagerWorldspan1990 - 1998
Worldspan/PTIS 1990 - 1997
Northwest Airlines 1985 - 1990
Skills
Enterprise Risk..., Derivatives, Risk Management, Market Risk, Credit Risk, Financial Risk, Operational Risk, Due Diligence, Banking, Credit, Portfolio Management, Basel II, Financial Modeling, Capital Markets, Operational Risk..., Financial Markets, Financial Analysis
Education
Gustavus Adolphus College 1981 — 1985
Gustavus Adolphus College 1981 — 1985
Bachelor's degree, Business Administration
St. Olaf College September 2014 - Present
St. Olaf College August 2012 - Present
PRMIA January 2011 - August 2012
PRMIA (Professional Risk Managers International Association) September 2007 - January 2011
BI Performance Services November 1995 - December 1998
Skills
Research, PowerPoint, Microsoft Excel, Event Planning, Public Speaking, Microsoft Office, Management, Analysis, Customer Service, Program Development, Social Media, Community Outreach, Training
Education
Concordia College 1988 — 1992
BA, International Relations
Edison High School 1983 — 1987
Diploma, Business Magnet
BlackRock June 2010 - Present
Global Association of Risk Professionals February 2010 - Present
International Association of Financial Engineers July 2009 - Present
PRMIA 2000 - Present
Polytechnic Institute of New York University September 2010 - December 2011
BlackRock March 1988 - December 2009
BlackRock 1988 - 2008
The First Boston Corporation April 1985 - March 1988
Leperq de Neuflize October 1984 - March 1985
Skills
Risk Management, Financial Risk, Quantitative Analytics, Structured Products, Management, Fixed Income, Derivatives, Asset Managment, Equities, Hedge Funds, Alternative Investments, Asset Allocation, Asset Management, Credit Risk, Leadership, Capital Markets, Market Risk, Operational Risk, Trading, Financial Markets, Portfolio Management
Education
Massachusetts Institute of Technology - Sloan School of Management 1979 — 1984
PhD, Applied Economics and Finance
Massachusetts Institute of Technology - Sloan School of Management 1979 — 1982
SM, Finance
Massachusetts Institute of Technology 1975 — 1978
SB, Management
U.S. Bancorp Investments & Insurance July 2007 - Present
PRMIA 2007 - 2008
Piper Jaffray December 1997 - August 2006
Skills
Strategic Planning, Meeting Planning, Event Management, Budgets, Community Outreach, Corporate Events, Incentives, Trade Shows, Marketing, Account Management, Marketing Communications, Hospitality, Fundraising
Education
Carleton College 1985 — 1989
Bachelor's degree, Political Science
S&P Capital IQ February 2012 - Present
University of Toronto 2000 - Present
R2 Financial Technologies February 2006 - February 2012
PRMIA 2002 - 2008
Algorithmics 1995 - 2005
Education
University of Toronto 1989 — 1993
M.A.Sc. and Ph.D., Engineering
Universidad Autónoma Metropolitana 1984 — 1989
Bachelor of Applied Science (B.A.Sc.), Chemical Engineering
Towers Watson March 2008 - Present
PRMIA 2008 - Present
Normandin Beaudry 2006 - 2008
Standard Life 1995 - 2006
Skills
Actuarial Science, Financial Risk, Risk Management, Asset Allocation, Investments, Portfolio Optimization, Performance Analysis, Statistics, Modeling, Stress Testing, Pension Funds, Pensions, Finance, Portfolio Management, Equities, Insurance, Valuation, Market Risk, Governance, ALM, Enterprise Risk...
Education
Université de Montréal