PRMIA - Professional Risk Managers' International Association

Industry: Non-profit organization

Description

The 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 - Professional Risk Managers' International Association Employees

Employee
Years
Job
Industry
Kseniya (Kate) Strachnyi, PMP Kseniya (Kate) Strachnyi, PMP Greater New York City Area Details
Kseniya (Kate) Strachnyi, PMP's PRMIA - Professional Risk Managers' International Association Experience June 2013 - Present
Job Manager Financial Services Industry
Industry Banking
Experience
Deloitte & Touche LLC  August 2011 - Present
Sherwood Village Cooperative C   June 2014 - Present
PRMIA - Professional Risk Managers' International Association   June 2013 - Present
PRMIA - Professional Risk Managers' International Association   February 2012 - Present
Bank Leumi USA  August 2010 - August 2011
Global Association of Risk Professionals  August 2009 - July 2010
FGI Finance  November 2008 - May 2009
First Investors Corporation  January 2008 - April 2008

Skills
Risk Management, Financial Risk, Enterprise Risk..., Basel II, Operational Risk, Tableau, Credit Risk, Finance, Financial Analysis, Banking, Operational Risk..., Basel III, Project Management, Market Risk, Corporate Governance, Derivatives, Capital Markets, Financial Modeling, Corporate Finance, Portfolio Management, Governance, Leadership, Risk Analysis, Financial Markets, @Risk, Business Development, Investment Banking, ICAAP, Valuation, Microsoft Excel, Risk Control..., Risk Appetite, Policy, Equities, Treasury Management, ERM, Bloomberg, Compliance Risk..., PMO, Policies & Procedures, PD & LGD Calculation, Third Party Vendor Risk..., New Product Approval..., SR-08-8, Volcker Rule

Education
Tableau   2015 — 2015
Tableau Advanced Training Course

Basel ii Association (BCPA)
Certified Basel ii Professional (CBiiPro).

City University of New York-Baruch College
BS, Finance & Investments

Global Association of Risk Professionals (GARP)
Financial Risk Manager (FRM) Level II Candidate

David R. Koenig David R. Koenig Greater Minneapolis-St. Paul Area Details
David R. Koenig's PRMIA - Professional Risk Managers' International Association Experience January 2011 - December 2012
Job Founding Principal, The Governance Fund; Author, Governance Reimagined: Organizational Design, Risk, and Value Creation
Industry Investment Management
Experience
The Governance Fund   January 2009 - Present
The Directors and Chief Risk Officers group (The DCRO)   October 2008 - Present
Journal of Risk Management in Financial Institutions   October 2007 - Present
PRMIA - Professional Risk Managers' International Association   January 2011 - December 2012
Governance Reimagined: Organizational Design, Risk, and Value Creation   August 2009 - November 2011
ArtOrg   August 2008 - 2011
The PRMIA Institute   July 2005 - September 2007
PRMIA - Professional Risk Managers' International Association   October 2002 - September 2007
PRMIA - Professional Risk Managers' International Association   June 2002 - October 2005
US Bancorp Piper Jaffray  1999 - December 2002

Skills
Corporate Governance, Risk Management, Asset Management, Compensation Systems, Financial Markets, Capital Markets, Derivatives, Fixed Income, Equities, Hedge Funds, Options, Enterprise Risk..., Governance, Portfolio Management, Risk Assessment, Investments, Strategic Planning, Business Planning, Economics, Market Risk, Organizational..., ALM, Financial Risk, Board Governance, Asset Managment, Strategy, Remuneration, Investment Banking, Corporate Finance, Credit Risk, Asset Allocation, Valuation, Finance, Venture Capital, Private Equity, Financial Modeling, Mergers & Acquisitions, Due Diligence, Structured Finance, Securities, Banking, Investment Strategies, Mutual Funds, Trading, Emerging Markets, Investment Management, Start-ups, Alternative Investments, Financial Services, Funding

Education
Northwestern University   1984 — 1985
MA, Economics

Miami University   1980 — 1984
BA, Math, Economics with Certificate in Statistics

Vladimir Antikarov Vladimir Antikarov Washington, District Of Columbia Details
Vladimir Antikarov's PRMIA - Professional Risk Managers' International Association Experience 2012 - Present
Job Principal at Verea Group LLC
Industry Management Consulting
Experience
Verea Group LLC   2012 - Present
PRMIA - Professional Risk Managers' International Association   2012 - Present
Overseas Shipholding Group, Inc.   2005 - 2012
Monitor Group  July 1993 - January 2005

Skills
Business Strategy, Strategy, Enterprise Risk..., Mergers, Finance, Business Development, Corporate Finance, Risk Management, Outsourcing, Mergers & Acquisitions, Acquisition Integration, Financial Modeling, Valuation, Business Process..., Financial Structuring, Start-ups, Capital Markets, Management Consulting, Analysis, Leadership, PMO, Management, Financial Analysis, Emerging Markets, Strategic Planning, Change Management, IPO, Organizational Design, Due Diligence, Corporate Development, Executive Management, Private Equity, Business Planning, Business Transformation, Market Entry, Restructuring, Strategic Consulting, Venture Capital, Consulting, Entrepreneurship, Competitive Analysis, Program Management, Project Management, Investments, Analytics, Strategic Thinking, Cross-functional Team..., Performance Improvement, New Business Development

Education
Boston University   1990 — 1993
MBA, ABD, Finance

University for National and World Economy, Sofia, Bulgaria
Bachelor's Degree, Economic Planning

Weibo Lan Weibo Lan Greater New York City Area Details
Weibo Lan's PRMIA - Professional Risk Managers' International Association Experience December 2014 - January 2015
Job Student at Columbia University in the city of New York
Industry Financial Services
Experience
JPMorgan Chase & Co.   October 2015 - Present
Nomura  June 2015 - August 2015
Wisdom Capital Asset Management, LLC   December 2014 - May 2015
PRMIA - Professional Risk Managers' International Association   December 2014 - January 2015
Bank of Communication  November 2014 - January 2015
Haitong Securities Investment Banking Department   June 2014 - August 2014
Chicago Quantitative Alliance   November 2013 - March 2014
Swedbank Credit Administration Department   June 2012 - August 2012

Skills
Statistics, Python, SAS programming, Matlab, Research, PowerPoint, Microsoft Office, C language, R, Analysis, Minitab, SAS, Quantitative Finance, Probability, Data Analysis, Teamwork, Microsoft Word, SAS Programming, Financial Analysis

Education
Columbia University in the City of New York   2014 — 2016
Master of Science (M.S.), Operations Research

Purdue University   2011 — 2014
Bachelor of Science (B.S.), Actuarial Science(Honor), Applied Statistics; Minor in Management, Economics

Keith Waitt Keith Waitt Greater New York City Area Details
Keith Waitt's PRMIA - Professional Risk Managers' International Association Experience July 2015 - Present
Job Director of Corporate Partnerships Americas at PRMIA Professional Risk Managers' International Association
Industry Financial Services
Experience
PRMIA - Professional Risk Managers' International Association   July 2015 - Present
Consultancy Matters LLC   June 2008 - Present
Fitch Training   September 2007 - May 2008
Citigroup  August 1983 - June 2007

Skills
Risk Management, Financial Services, Financial Risk, Training, Investment Banking, Business Development, Management, Leadership, Regulations, Banking, Lecturing, Financial Markets, Finance, Credit Risk, Capital Markets, Corporate Finance, Derivatives, Operational Risk..., Credit, Portfolio Management, Compliance, Marketing, Executive Management, Enterprise Risk..., Management Consulting, Training Consultancy, Financial Training, Regulatory Risk, E-Learning, Coaching, Operational Risk, AML, Analysis, Credit Analysis, Mergers & Acquisitions, Securities, Financial Risk..., Retail Banking, Financial Institutions, Commercial Banking, Conflict Management, Hedge Funds, Relationship Management, Structured Finance, Executive Coaching

Education
The University of Edinburgh   1979 — 1983
Bachelor of Commerce (Honours), Business

University of Pennsylvania - The Wharton School   1981 — 1982
Scholarship Award, Business

Peter Rajczy Peter Rajczy Hungary area Details
Peter Rajczy's PRMIA - Professional Risk Managers' International Association Experience 2009 - Present
Job Operational Risk Manager at retired from MNB
Industry Banking
Experience
retired from MNB   December 2014 - Present
PRMIA - Professional Risk Managers' International Association   2009 - Present
the Central Bank of Hungary (MNB)   March 2002 - December 2014
ESCB/Eurosystem trainings in ORM/BCM   2008 - 2013
Eötvös Loránd University   August 1974 - February 2002

Skills
Operational Risk..., Basel II, Operational Risk, Business Continuity, Business Continuity..., Financial Regulation, Risk Analysis, Governance, Economic Capital, Money Market, Stress Testing, Corporate Finance, Economics

Education
Eötvös Loránd University   1969 — 1974
Dr. univ., Physics

Roland Eotvos University, Budapest   1969 — 1974
dr. univ., Theoretical and Mathematical Physics

Robert R. Reitano Robert R. Reitano Greater Boston Area Details
Robert R. Reitano's PRMIA - Professional Risk Managers' International Association Experience November 2014 - Present
Job Senior Director, Academics at Brandeis University, International Business School
Industry Financial Services
Experience
Brandeis University, International Business School  June 2015 - Present
Brandeis University, International Business School  September 2005 - Present
PRMIA - Professional Risk Managers' International Association   November 2014 - Present
PRMIA - Professional Risk Managers' International Association   November 2013 - Present
CRICO  September 2011 - Present
UMass Foundation   2000 - Present
Weston Media Center, Inc.   July 2010 - Present
Strategic Investment Risk Management   March 2005 - Present
CRICO  July 2009 - August 2011
Reykjavik University  January 2005 - April 2008

Skills
Quantitative Analytics, Investments, Financial Modeling, Fixed Income, Risk Management, Quantitative Finance, Valuation, Econometrics, Economics, ALM, Portfolio Management, Asset Allocation, Investment Strategies, Finance, Hedge Funds, Market Risk, Bonds, Bloomberg, Equity Valuation, Actuarial Science, Alternative Investments, Capital Markets, Options, Financial Markets, Corporate Finance, Emerging Markets, Equities, Investment Banking, Asset Liability..., Investment Management, Asset Management, Derivatives, Financial Risk

Education
Massachusetts Institute of Technology   1972 — 1976
Ph.D., Mathematics

University of Massachusetts, Amherst   1971 — 1972
Master of Arts (M.A.), Mathematics

University of Massachusetts Boston   1967 — 1971
Bachelor of Arts (B.A.), Mathematics

Davide Cis, CFA, FRM Davide Cis, CFA, FRM Greater Boston Area Details
Davide Cis, CFA, FRM's PRMIA - Professional Risk Managers' International Association Experience April 2013 - December 2014
Job Risk Management Connoisseur, Director of Product Management, Software Enthusiast, Passionate Speaker and Author
Industry Computer Software
Experience
Eze Software Group  June 2010 - Present
PRMIA - Professional Risk Managers' International Association   April 2013 - December 2014
Moody's Analytics  June 2007 - May 2010
Moody's KMV  August 2004 - May 2007
Saint Mary's College  January 2005 - May 2005
Barra Inc.  August 1999 - July 2004

Skills
Credit Risk, Business Analysis, Market Risk, Scenario Analysis, Product Management, Financial Technology, Risk Management, Equities, Fixed Income, Portfolio Management, Agile Methodologies, Financial Risk, CRM, SDLC, Hedge Funds, Options, Asset Management, Credit, Cross-functional Team..., Quantitative Analytics, Financial Services, Banking, Trading Systems, Financial Markets, Competitive Analysis, Derivatives, Analysis, Strategy, Electronic Trading, Structured Products

Education
Università di Bologna   1994 — 1999
Master’s Degree, Economic Policy

University of California, Santa Cruz   1998 — 1999
Finance and Economics

Christian Charlot Christian Charlot Montreal, Canada Area Details
Christian Charlot's PRMIA - Professional Risk Managers' International Association Experience 2009 - 2011
Job Analyste / Analyst
Industry Investment Management
Experience
Decisionplus.com   October 2010 - Present
PRMIA - Professional Risk Managers' International Association   2009 - 2011
Desjardins  August 2008 - July 2009
Desjardins  May 2007 - August 2008

Skills
Investments, Asset Managment, Banking, Portfolio Management, Financial Analysis, Finance, Capital Markets, Interpersonal..., Interviewing Skills, Organization, Technical Analysis, Modélisation financière, Gestion des risques, Finance d'entreprise, Crédit, Trading, Services financiers, Microsoft Office, Produits dérivés, Leadership, Évaluations

Education
Université de Montréal - HEC Montréal   2006 — 2012
BAA, finance

collège jean-de-brébeuf
DEC, Gestion des ressources humaines / administration du personnel, général

Mustapha EL ALAOUI,M.Sc Mustapha EL ALAOUI,M.Sc Montreal, Canada Area Details
Mustapha EL ALAOUI,M.Sc's PRMIA - Professional Risk Managers' International Association Experience November 2010 - September 2011
Job Senior Analyst at National Bank of Canada
Industry Banking
Experience
National Bank of Canada  2012 - Present
PRMIA - Professional Risk Managers' International Association   November 2010 - September 2011
Bimcor  2011 - 2011
National Bank of Canada,  2009 - 2010
Desjardins Global Asset Management,  September 2008 - January 2009

Skills
Analysis, Forecasting, VBA, Bloomberg, Derivatives, Fixed Income, Portfolio Management, Equities, Financial Modeling, Hedge Funds, Financial Markets, Risk Management

Education
Université de Sherbrooke   2007 — 2008
M.Sc, Finance

Dean Bouridis, CDM, BSAC Dean Bouridis, CDM, BSAC Toronto, Canada Area Details
Dean Bouridis, CDM, BSAC's PRMIA - Professional Risk Managers' International Association Experience 2009 - Present
Job Board of Directors for a Foundation
Industry Nonprofit Organization Management
Experience
Foundation  2011 - Present
PRMIA - Professional Risk Managers' International Association   2009 - Present
Genesis Biopharma Inc. / Global Biotech Corp.   2010 - 2011
Gerson Lehrman Group  2009 - 2011
Canada Business Plan   2010 - 2010
eDev Tech  2009 - 2010
Trillium Health Centre  2008 - 2009
The Globe and Mail - Com Tel Marketing   2007 - 2008
Kriger Research Group International  2007 - 2008
Kingsley Strategic Group Inc   1999 - 2007

Skills
Strategic Planning..., Corporate Governance, Change Management, Project Implementation, Business Intelligence, Mergers, Investments, Business Planning, Compliance, Risk Management, Portfolio Management, Strategic Planning, Business Strategy, Team Leadership

Education
Kriger Research Institute   2007 — 2008
Post-Graduate Diploma, Clinical Data Project Management

American College of Greece

Art Gallery of Ontario
Arts Scholarship, Applied Arts

Carleton University, Ottawa
Bachelor, Economics; International Finance & Trade

Inquestra
Post-Graduate Certificate, Business Systems

Institute for Strategic Studies
Post-Graduate Certificate, Telecommunications Strategies

University of Toronto

Upper Canada College
Diploma

Allyn Sellers Allyn Sellers Greater Minneapolis-St. Paul Area Details
Allyn Sellers's PRMIA - Professional Risk Managers' International Association Experience August 2011 - Present
Job Training Program Manager at PRMIA Professional Risk Managers' International Association
Industry Financial Services
Experience
PRMIA - Professional Risk Managers' International Association   August 2011 - Present

Skills
Risk Management, Management, Training, Data Analysis, Credit Risk, Financial Risk, Project Management, VBA, Leadership, Business Analysis, Event Planning, Analysis, Finance, Team Building

Education
University of Jamestown   2000 — 2003

Jamestown College, Jamestown, North Dakota

Sue Lawlor-Rod Sue Lawlor-Rod Greater Minneapolis-St. Paul Area Details
Sue Lawlor-Rod's PRMIA - Professional Risk Managers' International Association Experience 2006 - Present
Job PRMIA (Certification, Exams and Publications) & SmartMomEDU coauthor
Industry Professional Training & Coaching
Experience
PRMIA - Professional Risk Managers' International Association   2006 - Present
Smartmomedu.com   October 2011 - Present
Designing Dishes   1997 - 2000

Education
Elmhurst College
Bachelor of Business Administration (BBA), Business

Iowa State University
business administration

Emily Slocum Emily Slocum Greater New York City Area Details
Emily Slocum's PRMIA - Professional Risk Managers' International Association Experience February 2014 - Present
Job GQR Global Markets
Industry Staffing and Recruiting
Experience
PRMIA - Professional Risk Managers' International Association   February 2014 - Present
GQR Global Markets  March 2013 - Present
Huxley Associates  June 2009 - March 2013
Simmons College  2006 - 2009

Skills
Credit Risk, Counterparty Risk, Insurance, Relationship Management, Account Management, Recruiting, Sales, Basel II, Investment Banking, Financial Risk, Capital Markets, Derivatives, Market Risk, Finance, Fixed Income, Hedge Funds, Enterprise Risk..., Solvency II, Credit, Risk Management, Hedging, Quantitative Finance, Options, Operational Risk

Education
Simmons College   2006 — 2009
BA, Communications and Art Admin

Sameh Sawiris Sameh Sawiris Greater San Diego Area Details
Sameh Sawiris's PRMIA - Professional Risk Managers' International Association Experience May 2015 - Present
Job MBA, Head of Impairment & Recoveries Credit Division at Piraeus Bank
Industry Banking
Experience
PRMIA - Professional Risk Managers' International Association   May 2015 - Present
Piraeus Bank  June 2008 - Present
International Finance Corporation  June 2007 - February 2008
Arab Banking Corporation  May 2004 - December 2006
National Bank of Greece  September 2001 - February 2004
BNP Paribas  June 1997 - August 2001

Skills
Credit Risk, Banking, Credit, Investment Banking, Corporate Finance, Financial Markets, Risk Management, Credit Analysis, Financial Analysis, Loans, Assets Recovery, Debt Restructuring, Commercial Banking, Capital Markets, Team Leadership, Investments, Data Recovery, Negotiation, Financial Risk, Portfolio Management, Special Assets..., IFRS, Basel II, Basel III, Project Finance, Restructuring, Workout, Syndications, Risk Analysis, Consultancy, Risk Assessment, Risk Mitigation, Business Strategy, Business Analysis, Structured Finance, Financial Reporting, GSAM - Assets Legacy..., Collections, US GAAP, Emerging Markets, Islamic Finance, Budgets, Finance, Relationship Management, Financial Services, Enterprise Risk..., Mortgage Lending, Credit Cards, Strategy, Retail Banking

Education
Cyprus International Institute of Management   2002 — 2005
MBA, Higher Diploma in Business Administration, Finance & Strategy, A+

The American University in Cairo   1999 — 2001
Certificate, Credit Course

University of Jyväskylä   1998 — 1998
Diploma, Sociology

Chambre de Commerce et d'Industrie de Paris   1995 — 1996
Diploma, Economics & Commerce

Helwan University Cairo   1991 — 1995
Bachelor, Economics & Finance

College De La Salle   1988 — 1991
High School Certificate, Science

Alliance Française de Paris   1989 — 1990
Diploma, French Language

Richard Ellis PMP PRM CSM PMI-ACP SSGB Richard Ellis PMP PRM CSM PMI-ACP SSGB Greater New York City Area Details
Richard Ellis PMP PRM CSM PMI-ACP SSGB's PRMIA - Professional Risk Managers' International Association Experience January 2015 - Present
Job Scrum Master at American Express
Industry Management Consulting
Experience
American Express  June 2015 - Present
PRMIA - Professional Risk Managers' International Association   January 2015 - Present
Project Management Institute  January 2010 - Present
Morgan Stanley  December 2014 - May 2015
EbRM   October 2013 - December 2014
Ascena Retail Group, Inc.   August 2012 - October 2013
Richard L Ellis Associates   January 1996 - July 2012
Newmark Grubb Knight Frank  January 1993 - January 1996
Sealy, Hoffman & Sheehan   January 1990 - January 1993
Natexis Bleichroeder  January 1988 - January 1990

Skills
Transaction Negotiations, RAROC, Real Estate, Negotiation, Economics, Strategic Planning, Contract Negotiation, Business Planning, Management Consulting, Microsoft Office, Value Stream Mapping, Risk Management, Enterprise Risk..., Operational Risk..., MS Project, PMP, Critical Chain Project..., Change Management, Business Process..., Business Transformation, Project Planning, Strategy, Six Sigma, SDLC, Program Management, Financial Analysis, Finance, Process Improvement, Team Building, Leadership, Requirements Analysis, BPO, Integration, ERP, Operations Management, Project Management, Analysis, Business Analysis, Financial Risk, SharePoint, Business Strategy, Vendor Management, Business Process, Budgets, Governance, Cross-functional Team..., Executive Management, Due Diligence, IT Management, PMO

Education
Bucknell University   1976 — 1979
BA, Economics

Byram Hills High School

Ron D'Vari Ron D'Vari New York, New York Details
Ron D'Vari's PRMIA - Professional Risk Managers' International Association Experience August 2015 - Present
Job Chair of Education Committee at PRMIA Professional Risk Managers' International Association
Industry Investment Management
Experience
PRMIA - Professional Risk Managers' International Association   August 2015 - Present
NewOak Asset Management   July 2008 - Present
NewOak Capital  August 2008 - Present
Tufts University, The Fletcher School   October 2012 - Present
EdgeMAC  February 2008 - January 2009
BlackRock  January 2005 - July 2008
BlackRock (Previously State Street Research and Management acquired by BlackRock in 2005)   July 1994 - February 2005
Brandeis University School of International Business   September 1997 - January 2005
The Boston Security Analysts Society  September 2001 - December 2004
Harvard University Extension School  September 2001 - June 2003

Skills
Financial Economics, Asset Management, Portfolio Management, Investment Advisory, Risk Management, Portfolio Optimization, Asset Liabiltity..., Credit Portfolio..., Fixed Income, Credit Analysis, Credit Risk, Structured Finance, Residential Mortgages, Commercial Mortgages, Credit Derivatives, Derivatives, Complex Securities, Project Finance, Asset Based Lending, Due Diligence, Valuation, Securities Litigation, Commercial Litigation, Complex Litigation, Governance, Policy, IT Strategy, Program Management, Asset, Finance, Capital Markets, Trading, Private Equity, Asset Managment, Mergers & Acquisitions, Securities, Investments, Restructuring, Equities, Hedge Funds, Financial Advisory, Emerging Markets, Investment Banking, Bonds, Credit, Banking, Structured Products, Financial Markets, Investment Strategies, Financial Structuring

Education
UCLA Anderson School of Management   1991 — 1993
MBA, Finance

University of California, Los Angeles   1982 — 1985
Ph.D., Engineering and Applied Science

University of California, Los Angeles   1976 — 1982
B.S., M.S., Engineering Degree, Engineering and Applied Science

University of Southern California   1975 — 1976
Mehcanical Engineering

Sharif University of Technology   1974 — 1975
Mechanical Engineering

Liza Abad, MBA Liza Abad, MBA Houston, Texas Details
Liza Abad, MBA's PRMIA - Professional Risk Managers' International Association Experience February 2011 - February 2014
Job Enterprise Risk Manager
Industry Oil & Energy
Experience
Hess Corporation  October 2013 - Present
Hess Oil & Gas SDN BHD   January 2014 - March 2015
PRMIA - Professional Risk Managers' International Association   February 2011 - February 2014
Hess Corporation  January 2011 - October 2013
Hess Corporation  October 2008 - January 2011
Hess Corporation  October 2003 - October 2008

Skills
Risk Management, Financial Modeling, Energy, Financial Analysis, Business Strategy, Strategic Planning, Commodity, Oil/Gas, Mergers & Acquisitions, Due Diligence, Portfolio Management, Performance Management, Analysis, Valuation, Financial Risk, Leadership, Corporate Finance, Derivatives, Credit, Banking, Trading, Executive Management, Mergers, Finance, Management, Cross-functional Team..., Enterprise Risk..., Project Management, Negotiation, Project Finance, Management Consulting, Economics, Oil & Gas, Commodity Markets

Education
Decision Frameworks for Asset Management   2014 — 2014
Oil & Gas Project Decision Analysis

Emory University - Goizueta Business School   2005 — 2007
MBA, Strategy and Management

Robert McDonough Robert McDonough Greater Atlanta Area Details
Robert McDonough's PRMIA - Professional Risk Managers' International Association Experience November 2010 - April 2013
Job Senior Consulting Manager at Angel Oak Consulting Group, LLC
Industry Financial Services
Experience
Angel Oak Consulting Group, LLC   September 2014 - Present
Strategic Financial Solutions, Inc.   2001 - Present
Angel Oak Capital Advisors, LLC  October 2012 - September 2014
Financial Services Volunteer Corps  1988 - 2014
PRMIA - Professional Risk Managers' International Association   November 2010 - April 2013
Angel Oak Advisory Services   June 2011 - September 2012
Bekker Compliance Consulting Partners, LLC  2007 - 2010
Investment Training and Consulting Institute, Inc.   2000 - 2010
New York Institute of Finance  2002 - 2003
Andersen Consulting  1998 - 2000

Skills
Capital Markets, Risk Management, Investments, Derivatives, Financial Analysis, Strategy, Asset Management, Banking, Financial Risk, Trading, Financial Services, Auditing, Economics, Structured Finance, Mutual Funds, Management, Training, Hedging, Consulting, Executive Management, Credit Risk, Portfolio Management, Financial Modeling, Finance, Fixed Income, Credit, Strategic Consulting, Operational Risk, Insurance, Financial Institutions, Structured Products, Market Risk, Financial Engineering, Policy

Education
Georgia State University - J. Mack Robinson College of Business   1983 — 1985
MBA, Finance and Economics

Emory University   1980 — 1982
BBA, General Business Administration

Westminster   1973 — 1980

Eric Konigsberg, FRM, PRM, CAIA Eric Konigsberg, FRM, PRM, CAIA Greater New York City Area Details
Eric Konigsberg, FRM, PRM, CAIA's PRMIA - Professional Risk Managers' International Association Experience June 2009 - June 2014
Job Chief Risk Officer at Larch Lane Advisors LLC
Industry Financial Services
Experience
Larch Lane Advisors LLC  February 2015 - Present
Larch Lane Advisors LLC  May 2010 - Present
PRMIA - Professional Risk Managers' International Association   June 2009 - June 2014
Ivy Asset Management, Inc   May 2004 - May 2010
Bond Technologies, Inc   February 1998 - August 2002
Doug Evans and Partners, LLC   June 1997 - December 1997

Skills
Hedge Funds, Bloomberg, Portfolio Management, Risk Management, Equities, Financial Risk, Investments, Due Diligence, Quantitative Analytics, Finance, SAS, Portfolio Optimization, Analytics, VAR, Management, Fixed Income, Asset Management, Alternative Investments, Derivatives, Stress Testing, Analysis, Statistics, Fund Of Funds, Asset Allocation, Market Risk, SQL, Financial Modeling, Investment Management, Investment Strategies, Options, Capital Markets, Mutual Funds

Education
New York University - Leonard N. Stern School of Business   2002 — 2004
MBA, Finance, Statistics

University of Pennsylvania   1993 — 1997
Bachelor of Arts and Science, Economics

Dev Strischek Dev Strischek Greater Atlanta Area Details
Dev Strischek's PRMIA - Professional Risk Managers' International Association Experience October 2010 - Present
Job
Industry Banking
Experience
suntrust banks, inc.   June 1998 - Present
The Risk Management Association  September 1996 - Present
The Risk Management Association  October 2001 - Present
PRMIA - Professional Risk Managers' International Association   October 2010 - Present
American Bankers Association  January 2003 - Present
The Institute of Management Accountants  June 1982 - Present
The Risk Management Association  January 1982 - Present
Archeological Institute of America   January 1999 - Present
Barnett Banks  1988 - 1998
The Risk Management Association  1994 - 1995

Skills
Credit, Commercial Lending, Financial Analysis, Commercial Banking, Risk Management, Enterprise Risk..., Banking, Policy, Credit Risk, Credit Analysis, Investments, Financial Modeling, Capital Markets, Cash Management, Loans, Small Business Lending, Underwriting, Financial Risk, Finance, Portfolio Management, Due Diligence, Mergers & Acquisitions, Loan Origination, Mortgage Lending, Financial Services, Financial Structuring, Corporate Finance, Retail Banking, Leadership, Treasury Management, Consumer Lending, Valuation, Operational Risk, Operational Risk..., Structured Finance, Asset Management, Fixed Income, Financial Institutions, Securities, Relationship Management, Asset Based Lending, Executive Management, Training, Private Banking, AML, Wealth Management, Strategic Financial..., Funding, Investment Banking, Private Equity

Education
Marysville High School

Stonier Graduate School of Banking
certificate, Banking

The Ohio State University Fisher College of Business
B.Sc., Marketing

University of Hawaii - Shidler College of Business
MBA, Finance

Steve Silvers, CPA Steve Silvers, CPA Greater Minneapolis-St. Paul Area Details
Steve Silvers, CPA's PRMIA - Professional Risk Managers' International Association Experience August 2013 - Present
Job Audit Director at U.S. Bank
Industry Banking
Experience
U.S. Bank   October 2014 - Present
PRMIA - Professional Risk Managers' International Association   August 2013 - Present
U.S. Bank   March 2012 - Present
U.S. Bank   March 2009 - March 2012
U.S. Bank   May 2008 - March 2009
KPMG LLP  July 2004 - May 2008
Honeywell International  August 2002 - July 2004

Skills
Financial Analysis, Risk Assessment, Sarbanes-Oxley Act, Risk Management, Liquidity Risk, Capital Markets, Derivatives, Capital Management, Internal Audit, Treasury Management, Interest Rate Risk..., Auditing, Internal Controls, CPA, Basel II, Investments, ICAAP, Microsoft Excel, Stress Testing, Accounting, Fraud, Financial Reporting, Finance

Education
University of Minnesota - Carlson School of Management   2001 — 2004
BSB, Accounting, Finance, and General Management

Jodi K. Lundell Jodi K. Lundell Greater Minneapolis-St. Paul Area Details
Jodi K. Lundell's PRMIA - Professional Risk Managers' International Association Experience September 2009 - December 2012
Job National Director at International Experience
Industry Nonprofit Organization Management
Experience
International Experience  January 2013 - Present
PRMIA - Professional Risk Managers' International Association   September 2009 - December 2012
PRMIA - Professional Risk Managers' International Association   May 2005 - September 2009
Minnesota Senior Federation  May 1988 - May 2002

Skills
Enterprise Risk..., Risk Management, Program Management, Leadership, Financial Modeling, Strategic Planning, Management, Due Diligence, Team Leadership, Strategy, Management Consulting, Change Management, Executive Management, Financial Analysis, Business Analysis, Training, Business Process...

Education
North Dakota State University   1984 — 1988
Business Communications

Syed M. Ahmad Syed M. Ahmad Washington, District Of Columbia Details
Syed M. Ahmad's PRMIA - Professional Risk Managers' International Association Experience July 2003 - July 2010
Job Federal Housing Finance Agency
Industry Financial Services
Experience
Federal Housing Finance Agency  August 1997 - Present
PRMIA - Professional Risk Managers' International Association   July 2003 - July 2010
Federal Home Loan Bank of New York  September 1994 - July 1997

Skills
Risk Management, Derivatives, Structured Finance, Credit Risk, Financial Risk, Market Risk, Basel II, Capital Markets, Fixed Income, Risk Analysis, Valuation, Finance, Financial Modeling

Education
Purdue University - Krannert School of Management   1982 — 1986
Ph.D.

David Daich, PRM, CQF David Daich, PRM, CQF New York, New York Details
David Daich, PRM, CQF's PRMIA - Professional Risk Managers' International Association Experience October 2013 - Present
Job Quantitative Risk Manager
Industry Financial Services
Experience
New York Life Insurance Company  July 2012 - Present
PRMIA - Professional Risk Managers' International Association   October 2013 - Present
Lazard Capital Markets  August 2011 - July 2012
Telsey Advisory Group  December 2010 - May 2011
BAE Systems  May 2003 - May 2010

Skills
Financial Modeling, Valuation, Financial Analysis, VBA, Bloomberg, Equities, Corporate Finance, Market Risk, Equity Valuation, Fixed Income, Microsoft Excel, MATLAB, Excel, Firm Valuation, Fixed Income Products, Fundamental Research, Machine Learning, Data Mining, Credit Risk, Financial Risk, Financial Risk..., Risk Management, Python, R

Education
New York University - Leonard N. Stern School of Business
MBA, Finance

New York University - Polytechnic School of Engineering
Masters, Electrical Engineering

City University of New York-Brooklyn College
Bachelor, Physics

Simon Beaulieu Simon Beaulieu Montreal, Canada Area Details
Simon Beaulieu's PRMIA - Professional Risk Managers' International Association Experience September 2009 - Present
Job Partner at EY Financial Services
Industry Financial Services
Experience
EY  July 2013 - Present
Ernst & Young  September 2010 - Present
PRMIA - Professional Risk Managers' International Association   September 2009 - Present
Ernst & Young  October 2008 - September 2010
Caisse centrale Desjardins  December 2006 - October 2008
Caisse centrale Desjardins  February 2005 - November 2006
Hydro Québec  February 2003 - February 2005
National Bank of Canada  January 2000 - February 2003

Skills
Credit Portfolio..., Basel II, Enterprise Risk..., Credit Risk, Risk, Credit, Compliance Management, Risk Management, Operational Risk, Market Risk, Economic Capital, VAR, Risk Analysis, Risk Assessment, Governance, Process Engineering, Management Consulting, Stress Testing, Business Strategy, Risk Mitigation, Process Improvement, Financial Risk, Financial Services, Portfolio Management, Sarbanes-Oxley Act, Corporate Finance, Basel III, ALM, Operational Risk..., Finance, Asset Management, Auditing, Counterparty Risk, Treasury

Education
HEC Montréal   2000 — 2002
M.Sc., Finance

Université de Sherbrooke   1997 — 2000
B.A.A., Finance

Peike Zhou Peike Zhou Montreal, Canada Area Details
Peike Zhou's PRMIA - Professional Risk Managers' International Association Experience January 2012 - Present
Job M.Sc. | Financial Engineering | Risk Management
Industry Investment Banking
Experience
HEC Montréal  May 2013 - Present
PRMIA - Professional Risk Managers' International Association   January 2012 - Present
Skylawn Travels Inc.   September 2012 - April 2014

Skills
VBA, Risk Management, Matlab, Bloomberg, Financial Markets, Monte Carlo Simulation, French, Microsoft Excel, Market Risk, Microsoft Office, Econometrics, SAS, Finance, Derivatives, R, English, C++, Fixed Income Analysis, Stochastic Processes, Stochastic Methods, Quantitative Finance, Excel, Rats, Quantitative Analytics, Valuation, Economics, Time Series Analysis, Financial Modeling, Fixed Income, Capital Markets, Bloomberg Terminal, Financial Risk, Data Management, SQL, Eagle, DBVisualizer, Salesforce.com, Charles River IMS

Education
Université de Montréal - HEC Montréal   2011 — 2013
Master of Science (M.Sc.), Financial engineering

Université de Montréal - HEC Montréal   2006 — 2009
Bachelor of Business Administration (B.B.A.), Finance

Université catholique de Louvain   2008 — 2008
Bachelor of Business Administration (B.B.A.), Finance, General

Udayan Srivastava Udayan Srivastava New York, New York Details
Udayan Srivastava's PRMIA - Professional Risk Managers' International Association Experience April 2013 - Present
Job Senior Risk and Control Specialist
Industry Financial Services
Experience
HSBC  January 2014 - Present
PRMIA - Professional Risk Managers' International Association   April 2013 - Present
AIG  October 2011 - January 2014
Morgan Stanley  October 2009 - October 2011
Merrill Lynch  2006 - 2009
JP Morgan Chase  1997 - 2006
Deloitte & Touche  1994 - 1997
Lewtan Technologies  1900 - 1900

Skills
Risk, Internal Audit, Economic Capital, Enterprise Risk..., Writing Skills, Financial Risk, Market Risk, Operational Risk, Credit Risk, Derivatives, Risk Management, Capital Markets, Financial Services, Internal Controls, Quantitative Finance, Quantitative Analytics, Risk Assessment, Trading, Counterparty Risk, Risk Analysis, Operational Risk..., Auditing, Governance, Basel II, Fixed Income, VAR, Financial Institutions, Treasury Management

Education
Birla Institute of Technology and Science, Pilani
MSc, Physics

D'Amore-McKim School of Business at Northeastern University
MBA, MIS and Finance

The Scindia School

Kristin Lucas Kristin Lucas Greater Minneapolis-St. Paul Area Details
Kristin Lucas's PRMIA - Professional Risk Managers' International Association Experience January 2013 - Present
Job Director of Operations at PRMIA Professional Risk Managers' International Association
Industry Nonprofit Organization Management
Experience
PRMIA - Professional Risk Managers' International Association   January 2013 - Present
PRMIA - Professional Risk Managers' International Association   August 2011 - January 2013
PRMIA - Professional Risk Managers' International Association   January 2011 - August 2011
Knecht's Nurseries and Landscaping   November 2005 - December 2010
BI Performance Services  August 1994 - September 1999

Skills
Market Risk, Risk Management, Financial Risk, Enterprise Risk..., Derivatives, Financial Analysis, Corporate Governance, Financial Modeling, Operational Risk, Operational Risk..., Credit Risk, Financial Markets

Education
St. Norbert College   1988 — 1992
BA, Sociology, French

Ken Radigan Ken Radigan Greater New York City Area Details
Ken Radigan's PRMIA - Professional Risk Managers' International Association Experience December 2013 - Present
Job Chief Risk Officer: US, Bermuda at Aspen Insurance
Industry Insurance
Experience
Aspen Insurance  January 2014 - Present
PRMIA - Professional Risk Managers' International Association   December 2013 - Present
AIG  January 2011 - January 2014
AIG  June 1994 - January 2011

Skills
Risk, Reinsurance, Underwriting, Environmental Insurance, Casualty, Property & Casualty..., Risk Management, Risk Assessment, Financial Risk, Liability, General Insurance, Professional Liability, Legal Liability, Brokers, Commercial Insurance, Claims Management, Insurance, Casualty Insurance

Education
University of Dayton   1978 — 1982
Bachelor of Arts (B.A.), Mathematics

Ndéye Séne Mbaye, Msc Ndéye Séne Mbaye, Msc Montreal, Canada Area Details
Ndéye Séne Mbaye, Msc's PRMIA - Professional Risk Managers' International Association Experience January 2014 - Present
Job Risk Management | Audit Models & Market Risk For Financial Markets, Institutionals and Tresuary
Industry Banking
Experience
National Bank of Canada  April 2012 - Present
Banque Nationale du Canada - Réseau des Jeunes Employés   January 2013 - Present
PRMIA - Professional Risk Managers' International Association   January 2014 - Present

Skills
Risk Management, Banking, Basel II, ICAP, Capital Management, Credit Risk, Market Risk, Credit Analysis, Financial Modeling, Financial Markets, Quantitative Analysis, VBA, Structured Products, Econometrics, Matlab, Basel III, ALM, Liquidity Risk, Quantitative Analytics, Derivatives, Finance

Education
Université de Sherbrooke   2011 — 2012
Graduate Diploma

McGill University   2009 — 2010
Graduate certificate

Université du Québec à Montréal   2006 — 2008
Master és science

   2004 — 2006
Bachelor of commerce

Institution Notre Dame   2000 — 2003
High School Diploma

Madeleine D. Sinkam, M Sc Madeleine D. Sinkam, M Sc Montreal, Canada Area Details
Madeleine D. Sinkam, M Sc's PRMIA - Professional Risk Managers' International Association Experience September 2010 - December 2010
Job Senior Analyst Enterprise Wide Risk Management at National Bank of Canada
Industry Financial Services
Experience
National Bank of Canada  July 2014 - Present
Banque Laurentienne  July 2012 - July 2014
Banque Laurentienne  August 2011 - June 2012
Banque Laurentienne  November 2010 - August 2011
PRMIA - Professional Risk Managers' International Association   September 2010 - December 2010
HEC Montreal  June 2009 - May 2010
BEN-JAC CAPITAL INC.   May 2008 - September 2008

Skills
Risk Management, Credit risk management, Stress Testing, Collective allowance..., Credit Risk, Credit, SAS, Basel II, Derivatives, Fixed Income, Quantitative Finance, Financial Modeling, Financial Markets, Finance, Portfolio Management, VBA

Education
Université de Montréal - HEC Montréal   2009 — 2011
Master of Science (M.Sc.), Applied Financial Economics

Université du Québec à Montréal / UQAM   2006 — 2008
Bachelor of Science (B.Sc.), Economics

Nicolas Mathurin,MBA Nicolas Mathurin,MBA Hollywood, Florida Details
Nicolas Mathurin,MBA's PRMIA - Professional Risk Managers' International Association Experience July 2015 - Present
Job Experienced Banking Professional in transition
Industry Financial Services
Experience
ACAMS  September 2015 - Present
PRMIA - Professional Risk Manager's International Association  July 2015 - Present
Allstate  December 2013 - July 2015
JPMorgan Chase & Co.   2010 - December 2013
Wells Fargo  October 2006 - December 2009

Skills
Small Business, Finance, Banking, Financial Analysis, Credit, Risk Management

Education
Frankfurt School of Finance & Management   2014 — 2015
Certificate, Microfinance

Nova Southeastern University   2004 — 2006
MBA, FINANCE

American University   1999 — 2003
BA, International Economic Policy

Andy Condurache Andy Condurache Washington, District Of Columbia Details
Andy Condurache's PRMIA - Professional Risk Managers' International Association Experience September 2012 - Present
Job Director of Exams & Publications at PRMIA Professional Risk Managers' International Association
Industry Financial Services
Experience
PRMIA - Professional Risk Managers' International Association   September 2012 - Present
Merrill Lynch  August 2011 - July 2012

Education
McDaniel College   2007 — 2011
B.A.

Jiao Zhang Jiao Zhang Greater Minneapolis-St. Paul Area Details
Jiao Zhang's PRMIA - Professional Risk Managers' International Association Experience August 2011 - November 2012
Job Graduate Student in Montessori Education
Industry Education Management
Experience
Laura Baker Services Association  February 2015 - Present
Chic Donor   August 2008 - Present
Chic Donor   2008 - Present
Child's Delight Too   November 2013 - February 2015
Liv Concepts Inc   December 2012 - June 2013
PRMIA - Professional Risk Managers' International Association   August 2011 - November 2012

Education
Stephens College   2005 — 2008
BS, Fashion Marketing & Management

St. Catherine University
Graduate Degree Program, Education

Richard Leite Richard Leite United States Details
Richard Leite's PRMIA - Professional Risk Managers' International Association Experience 2002 - 2005
Job Executive Director at Morgan Stanley
Industry Financial Services
Experience
Morgan Stanley  April 2007 - Present
Credit Suisse  September 2001 - April 2007
PRMIA - Professional Risk Managers' International Association   2002 - 2005
Misys  1999 - 2001
BARRA  1997 - 1999

Skills
Financial Risk, Equities, Market Risk, Risk Management, Swaps

Education
Fordham University - Graduate School of Business Administration
Master of Business Administration (MBA), Finance

University of California, Berkeley
B.A. Economics, Economics

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