Shawn

VP - Market Risk Officer

Shawn (Xiaoxiang) Ma, CFA, FRM, is a Market Risk Manager specializing in Credit Trading and an experienced risk and investment professional. Holding a Bachelor of Science in Telecommunications Engineering from Queen Mary University of London and a Master's degree in Risk Management and Financial Engineering from Imperial College Business School, Shawn has built a robust career in market risk analysis and trading. Currently, Shawn serves as a VP - Market Risk Officer at Citi, following roles as a Senior Market Risk Analyst at Eni Trading & Shipping, a Volcker Risk Analyst at HSBC Global Banking and Markets, and a Quantitative Investment Analyst at Signia Wealth Limited. Shawn is recognized for proficiency in quantitative analysis and risk modeling, along with a strong passion for continuous learning in the financial market.

Location

London, United Kingdom

Links


Org chart

No direct reports

Teams

This person is not in any teams


Offices

This person is not in any offices