Mark Weber

Mark Weber

Senior Market & Risk Advisor, Office of Enforcement

Role
Senior Market and Risk Advisor, Office of Enforcement at Federal Energy Regulatory Commission
Location
Washington, DC, US
LinkedIn followers
500 followers

About Mark Weber

Risk Management, Litigation, and Regulatory Expertise Experienced leader at large international banks and at major regulatory agency in Risk Management, Risk/Valuation Methodology, Litigation Analysis/Research, and Regulatory areas with experience interacting with C-level management, inside and outside counsel, regulators, finance, and front office. Litigation/Legal Expertise includes risk, market conduct rules, valuation, forensic data analysis, and bankruptcy areas. Core competencies include: • Diverse risk/valuation & product knowledge – market, credit/counterparty, enterprise, operational and liquidity/funding-cost risks across credit, fixed income, energy, real estate, traded and non-traded products (including deposits, securities-backed/margin lending, and loans). Covers both developed and emerging Markets. • Litigation & legal expertise – forensic analysis of trading and risk data, pricing and valuation of financial derivatives/securities, market conduct rules, drafting/editing of legal briefs, ISDA agreements, and bankruptcy workouts. • Regulatory experience – current and emerging US and international rules for bank capital (including CCAR/DFAST/Reverse Stress Testing). Have been primary regulatory face-off at banks and have worked in enforcement area at regulators. • Technology - Big Data experience - experience designing and building analytic systems for trading and regulatory areas. Have managed groups in these areas.

Experience

  1. Senior Market and Risk Advisor, Office of Enforcement

    Federal Energy Regulatory Commission

    Jan 2017 — Present · Washington, DC, US

    Current work areas include- Managing the data architecture and implementation of a large data warehouse for regulatory reliability data in the power sector. Includes structuring this data and conceptual development of a quantitative risk framework- Work on investigations of possible market misconduct in the energy sectors relating to the US bulk power system- Develop policy proposals for senior management relating to risk related areas at the commission. Includes working across Commission offices to analyze and develop recommendations for the Commission on Section 205/206 Regulatory filings relating to the energy markets- Work on matters relating to credit risk and policy within the gas and electric markets, and how this affects Regional Transmission Organizations/Independent System Operators.

Education

  • Washington University in St. Louis

    MS

  • Yale University

    PhD

  • Washington University in St. Louis

    BS

  • The University of Chicago Booth School of Business

    MBA

Skills

  • Bank Liquidity
  • Board Presentations
  • Isda Contracts
  • Bonds
  • Rmbs
  • Mortgages
  • Valuation
  • Credit Card Risk Management
  • Margin Lending
  • Risk
  • Dfast
  • Capital Markets
  • Trading
  • Isda Terminations
  • Financial Risk
  • Var
  • Credit Derivatives
  • Bcbs-239
  • Sr 11-7
  • Basel Iii
  • Fixed Income
  • Regulatory Submissions
  • Options
  • Risk Management
  • Equities
  • Market Risk
  • Risk Architecture
  • Quantitative Finance
  • Bank Capital
  • Ccar
  • Cmbs
  • Economic Capital
  • Operational Risk
  • Icaap
  • Stress Testing
  • C-Level Executive Support
  • Basel Ii
  • Credit
  • Derivatives
  • Middle Office

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