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Resume Name: My Resume
Current Job Title: MANAGER, MARKET & TRADING CREDIT RISK
Summary/Headline:
MBA, Financial Engineering and Finance, Schulich School of Business, York University, 2003
CFA Charter Holder, CFA Institute, 2004
FRM, Global Association of Risk Professionals, 2006
DMS (Derivative Market Specialist), Canadian Securities Institute, 2005
CAIA (Chartered Alternative Investment Analyst) program, CAIA Association, 2007
CSC (Honours), CPH (Honours), Canadian Securities Institute, 2001 
Credit Derivatives Course, PRIMIA Institute, Nov 2006 
Certificate of MATLAB for Financial Applications, The MathWorks, 2006
Insurance License, Level 1, Canadian Association of Insurance & Financial Advisors, 2001
Bachelor of Economics (Honours), Shanghai Institute of Foreign Trade, 1997
Employment Objective: Advanced career in Market & Trading Credit Risk Management Area and/or Hedging Fund Industry
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Salary: 110000.0000 - 200000.0000, Yearly
Resume Text:
JASON YANG, MBA, CFA, FRM, DMS

EDUCATION 
MBA, Financial Engineering and Finance, Schulich School of Business, York University, 2003
CFA Charter Holder, CFA Institute, 2004
FRM, Global Association of Risk Professionals, 2006
DMS (Derivative Market Specialist), Canadian Securities Institute, 2005
CAIA (Chartered Alternative Investment Analyst) program, CAIA Association, 2007
CSC (Honours), CPH (Honours), Canadian Securities Institute, 2001 
Credit Derivatives Course, PRIMIA Institute, Nov 2006 
Certificate of MATLAB for Financial Applications, The MathWorks, 2006
Insurance License, Level 1, Canadian Association of Insurance & Financial Advisors, 2001
Bachelor of Economics (Honours), Shanghai Institute of Foreign Trade, 1997
           
EXPERIENCE 
Manager, Market & Trading Credit Risk, RBC Financial Group, Oct 2003 - Current
1. Design, develop, implement and enhance market risk models, policies and practices 
2. Provide authoritive analysis to Middle Office, Capital Markets and Group Risk Management
3. Design, develop and Improve market risk reporting methodologies and system 

Senior Analyst, Finance Management Development Program, RBC Financial Group, 2003
1. Rotated in several Core Function Areas within RBC Financial Group including Head Office Finance and Group Risk Management
2. Developed and Implemented market risk management policies and practices
3. Developed financial policy & methodology of Economic Capital

Financial Analyst, Ontario Ministry of Transportation, Canada, Oct 2002 – Mar 2003
1. Allocated and budgeted capitals for IT projects 
2. Analysed financial information, variances & trends and ensuring the accuracy

Investment Advisor, Edward Jones Investment, Canada, Jun 2001 – Feb 2002
1. Performed risk assessment & in depth financial and investment analysis
2. Monitored and advised clients on investment performance and financial plan

Account Manager/Credit Analyst, Bank of Communications, China, 1997 - 2000
1. Analysed financial and investment information and generated analytical reports
2. Managed credit portfolio over US$300M and 50 corporate customers
3. Implemented risk management and provided training to staff, and seminars to major clients

COMPUTER, LANGUAGE LITERACY AND ANALYTICAL SKILLS
1. Computer - Proficient in SQL, UNIX, ETI, Matlab, MS Professional (Access, Excel, etc), KMV
2. Language - Fluent in Mandarin
3. Financial Engineering - Solid Knowledge of Programming, Modelling & Pricing in Derivatives, Equities and Debts Market; Portfolio Optimization & Management; Financial Mathematics; Linear Programming in Operational Research
 
ADDITIONAL SKILLS AND INFORMATION
1. CFA Charterholder Member of CFA Institute & Toronto CFA Society, 2004 – Current
2. FRM Individual Member of Global Association of Risk Professionals, 2005 - current
3. Affiliate Member of Professional Risk Managers’ International Association, 2002 - Current
Availability Status: Available after notice time to current employer
Availability Date: -
Relocation Preference: -
Certifications: CFA, FRM, DMS
Personal: -
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Application File: Hidden
Post Date: 03/02/2007