Michael Bilcik is a financial risk management professional with a solid background in developing, implementing, and governing end-to-end risk modeling processes. They have demonstrated high performance across various roles, including financial analyst, trader, and portfolio analyst at notable firms such as Oppenheimer & Co. Inc. and Citi. Currently, Michael is pursuing a Bachelor of Science degree from Long Island University and a Master of Business Administration at Baruch College, while previously earning a Master of Science from Baruch College. Their diverse skill set encompasses financial statement analysis, operational modeling, and regulatory compliance, alongside expertise in programming and database design.
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