Andres Gonzalez

Andres Gonzalez

Risk Management Executive | Credit Risk Specialist with 10+ years producing valuable decision-making content

Role
Asset Liability Management, VP at JPMorganChase
Location
New York, NY, US
LinkedIn followers
500 followers

About Andres Gonzalez

CFA Charterholder, MBA, bilingual financial professional with valuable blend of credit and market risk. Hands-on professional skilled at developing focused, high-performance teams to execute strategies and surpass organizational goals. Oversight of credit portfolios with exposure to multiple industries/sectors while mantaining research depth. Contributed to institutional goals such as footprint expansion of Corporate Bank, strategic analytical support for acquisitions and recently a migration to a propietary Asset Liability Management (ALM) platform.

Experience

  1. Asset Liability Management, VP

    JPMorganChase

    Mar 2015 — Present · New York, NY, US

    Measure, analyze and communicate JPM Consolidated and LOB interest rate risk positions. Implement and testing of platform enhancements.

Education

  • Texas McCombs School of Business

    MBA, Finance

    2003 — 2005

  • UCAB - Universidad Católica Andrés Bello

    BS in Economics, Macroeconomics, Econometrics, Corporate Finance

  • CFA Institute

    Chartered Financial Analyst, Investments, Portfolio Management, Risk, Economics.

    2009 — 2013

Skills

  • Finance
  • Bloomberg
  • Leveraged Finance
  • Enterprise Risk Management
  • Financial Analysis
  • Capital Markets
  • Thompson One
  • Credit Analysis
  • Microsoft Excel
  • High Yield
  • Thomson One
  • Corporate Finance
  • Investments
  • Financial Risk
  • Asset Management
  • Corporate Credit
  • Fixed Income
  • Syndications
  • Financial Risk Management
  • Edgar
  • Qrm
  • Credit Risk
  • Alm
  • Emerging Markets
  • Credit Portfolio Management
  • Underwriting
  • S&P
  • Research
  • Sungard Bancware
  • Structured Finance
  • Market Risk
  • Excel
  • Liquidity Risk
  • Credit
  • Financial Modeling
  • Fixed Income Analysis
  • Risk Management
  • Interest Rate Risk Management
  • Bloomberg Terminal
  • Portfolio Management

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