Thomas Zhang
Financial Model Risk Management @Bank of China USA
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WORK HISTORY
Financial Model Risk Management @Bank of China USA
New York, NY, US
Collaborated with model owners to conduct independent model validation, including Credit Risk, Market Risk, Compliance Risk models, and composed validation reports;• Supported implementing the activities defined in model risk management framework and ensured that the Bank\'s model risk management framework continues to align with regulatory expectations;• Coordinated the remediation of model validation findings and provided guidance of the finding owners;
EDUCATION
University of Connecticut
Master of Finance, Financial Risk Management
Quzhou University
Bachelor of Engineering - BE, Electrical and Electronics Engineering
ABOUT THOMAS ZHANG
Critical thinking, problem solving Financial Risk Professional with experience in asset allocation, portfolio management and asset statements in the investment banking and securities industry. Effective communicator and collaborative team contributor possessing technical and analytical skills to help increase organization performance.
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