Fwd: Risk Management Seminar & Networking July 18 Thursday 6pm

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Fudan SoM Alumni

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Jul 8, 2013, 6:46:38 PM7/8/13
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Market your calendar for our alumni seminar and networking event hosted by AFS: Buy-side vs. Sell-Side Risk Management, and bring your questions to our grand panel.

 

Seminar speakers:

1) Yong Ma, Managing Director,  Chief Operating Officer for Credit Risk Management, Morgan Stanley

2) Ming Yan, Partner and Head of Risk Management,  Karya Capital Management LP

3) Roy Tang, Executive director, Model Review Group, Morgan Stanley

4) Charlie Peng (Panel Chair), Vice President, Market Risk Management, Bank of America Merrill Lynch

 

Date: July 18 (Thursday) 6pm to 8pm

Venue: 1 Penn Plaza, 50th Floor, New York, NY 100119

 

1.  Yong Ma, Managing Director, Morgan Stanley

Chief Operating Officer for Credit Risk Management

 

Yong Ma is the Chief Operating Officer for Credit Risk Management and the Deputy COO for Firm Risk Management in Morgan Stanley with responsibility for division budget, resourcing and administration.  In addition, Yong oversees Firm Risk Projects, including IT strategy and infrastructure, Credit Risk Middle Office, Regulatory Relations, Credit Policy and Procedures, Advanced Systems Validation, and Credit Rating Analytics.  Prior to joining Morgan Stanley, Yong worked at Barclays Capital/Lehman Brothers, Merrill Lynch, Goldman Sachs and IBM.  He holds a PhD in Computer Science from the University of Illinois at Urbana-Champaign.  Yong is an active member of Huaxia Chinese Schools, having recently served as the Chair of the Board at Livingston Branch.

 

2. Roy Tang, Executive Director, Model Review Group, Morgan Stanley

Roy is a seasoned risk professional. Trained as a statistician, he started his career at American Express building risk models to target prospective clients and manage credit card portfolio. Later he moved to Merrill Lynch and spent 6 years there to work on counterparty risk modeling including credit exposure and initial margin for hedge fund and prime brokerage. After that he worked at BNP Paribas in transaction analysis for structured deals, including assessment of market risk and counterparty risk. Currently he works at Morgan Stanley model review group as a co-head in commodities model validation and CVA/IMM model validation.

 

3. Ming Yan, Partner and Head of Risk Management, Karya Capital Management LP

 

Dr. Yan is currently a founder and head of risk management at Karya Capital Management LP.  Previously he  worked at Nomura  Asset Management from July 2008 as head of risk management.  He worked at Proxima Alfa (formerly VegaPlus) as the firm’s risk manager from  April 2004.  Before that  he was a Vice President in Fixed-income Division at AllianceBernstein, where he was responsible for fixed-income hedge funds’ risk analytics modeling and reporting.  .  Prior to joining Alliance Bernstein, Dr. Yan was a Vice President with BlackRock in the Portfolio Analytics Group.  Dr. Yan received a Ph.D. in Economics from Utah State University and has a BS from Fudan University in Shanghai, China.

 

4. Panel Chair--Charlie Peng, Vice President, Market Risk Management, Bank of America

Mr. Peng is currently a Vice President in the market risk management group covering Emerging Markets Fixed Income trading under Global Banking and Markets division at Bank of America Merrill Lynch. Prior to his current role, he worked in middle office and finance areas at Merrill Lynch from 2005. Prior to that, he worked at Deloitte & Touche LLP as consultant in financial derivatives valuation group. Before that, he was a vice president of Investment Banking Department at China Merchants Securities Co. Ltd., responsible for equity IPO, merger & acquisition and other corporate financing business. He also worked as senior project manager of Investment Banking in Zhejiang Jinhua Trust and Investment Co. Mr. Peng is a CFA charter holder. He holds Master of Computer Science from State University of New York at Binghamton, Master of Economics at Fudan University and Bachelor of Economics at Nankai University in China.

 

Register Now   Eventbrite: http://bit.ly/11DIBia

Discount code will be sent to premium members in a separate email.

 

 

For more information about Asian Financial Society (AFS),

Official Website: http://www.afstoday.org

 

For more information about Fudan Alumni Association

Official Website: http://www.fudanalumniusa.com

 

 

 

 

 


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Fudan SoM Alumni

unread,
Jul 17, 2013, 8:28:51 AM7/17/13
to fudan.som.alumni
How did you get into risk management? What are the essential skills in risk management and what factors help achieve career success? What are the commons and differences between Buy-side and Sell-side risk management? What are the ways to make the transition? What are the career paths for credit risk management vs market risk management in sell-side?
To find answers to questions above, please join us in our Risk Seminar: Sell-side vs Buy-side Risk Management Career Advice and Development this Thursday. Refreshment will be provided.

Date: July 18 (Thursday) 6:00 – 8:00pm
Venue: 1 Penn Plaza, 50th Floor, New York, NY 10119
Entrance on either 33rd or 34th street, cross street is 8th Ave
Take subway A,C,E or 1,2,3 to Penn Station

Register Now

Eventbrite: 
http://bit.ly/11DIBia
discount code "13summer2


 

Market your calendar for our alumni seminar and networking event host by AFS: Buy-side vs. Sell-Side Risk Management, and bring your questions to our grand panel.

 

Seminar speakers:

1) Yong Ma, Managing Director,  Chief Operating Officer for Credit Risk Management, Morgan Stanley

2) Ming Yan, Partner and Head of Risk Management,  Karya Capital Management LP

3) Roy Tang, Executive director, Model Review Group, Morgan Stanley

4) Charlie Peng (Panel Chair), Vice President, Market Risk Management, Bank of America Merrill Lynch

 

Date: July 18 (Thursday) 6pm to 8pm

Venue: 1 Penn Plaza, New York, NY 100119

 

1.  Yong Ma, Managing Director, Morgan Stanley

Chief Operating Officer for Credit Risk Management

 

Yong Ma is the Chief Operating Officer for Credit Risk Management and the Deputy COO for Firm Risk Management in Morgan Stanley with responsibility for division budget, resourcing and administration.  In addition, Yong oversees Firm Risk Projects, including IT strategy and infrastructure, Credit Risk Middle Office, Regulatory Relations, Credit Policy and Procedures, Advanced Systems Validation, and Credit Rating Analytics.  Prior to joining Morgan Stanley, Yong worked at Barclays Capital/Lehman Brothers, Merrill Lynch, Goldman Sachs and IBM.  He holds a PhD in Computer Science from the University of Illinois at Urbana-Champaign.  Yong is an active member of Huaxia Chinese Schools, having recently served as the Chair of the Board at Livingston Branch.

 

2. Roy Tang, Executive Director, Model Review Group, Morgan Stanley

Roy is a seasoned risk professional. Trained as a statistician, he started his career at American Express building risk models to target prospective clients and manage credit card portfolio. Later he moved to Merrill Lynch and spent 6 years there to work on counterparty risk modeling including credit exposure and initial margin for hedge fund and prime brokerage. After that he worked at BNP Paribas in transaction analysis for structured deals, including assessment of market risk and counterparty risk. Currently he works at Morgan Stanley model review group as a co-head in commodities model validation and CVA/IMM model validation.

 

3. Ming Yan, Partner and Head of Risk Management, Karya Capital Management LP

 

Dr. Yan is currently a founder and head of risk management at Karya Capital Management LP.  Previously he  worked at Nomura  Asset Management from July 2008 as head of risk management.  He worked at Proxima Alfa (formerly VegaPlus) as the firm’s risk manager from  April 2004.  Before that  he was a Vice President in Fixed-income Division at AllianceBernstein, where he was responsible for fixed-income hedge funds’ risk analytics modeling and reporting.  .  Prior to joining Alliance Bernstein, Dr. Yan was a Vice President with BlackRock in the Portfolio Analytics Group.  Dr. Yan received a Ph.D. in Economics from Utah State University and has a BS from Fudan University in Shanghai, China.

 

4. Panel Chair--Charlie Peng, Vice President, Market Risk Management, Bank of America

Mr. Peng is currently a Vice President in the market risk management group covering Emerging Markets Fixed Income trading under Global Banking and Markets division at Bank of America Merrill Lynch. Prior to his current role, he worked in middle office and finance areas at Merrill Lynch from 2005. Prior to that, he worked at Deloitte & Touche LLP as consultant in financial derivatives valuation group. Before that, he was a vice president of Investment Banking Department at China Merchants Securities Co. Ltd., responsible for equity IPO, merger & acquisition and other corporate financing business. He also worked as senior project manager of Investment Banking in Zhejiang Jinhua Trust and Investment Co. Mr. Peng is a CFA charter holder. He holds Master of Computer Science from State University of New York at Binghamton, Master of Economics at Fudan University and Bachelor of Economics at Nankai University in China.

 

Register Now   Eventbrite: http://bit.ly/11DIBia

Discount code will be sent to premium members in a separate email.

 

 

For more information about Asian Financial Society (AFS),

Official Website: http://www.afstoday.org

 

For more information about Fudan Alumni Association

Official Website: http://www.fudanalumniusa.com

 

 

 

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