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Steven Shin

Risk Manager

Steven Shin is an experienced risk manager with a strong background in finance and risk assessment across various prestigious firms. Currently serving as a Risk Manager at Jefferies since December 2022, Steven focuses on prime cash and synthetic equities, alongside strategies such as long/short equity and risk arbitrage. Prior experience includes positions at BNY Mellon, where responsibilities encompassed business risk management for markets and counterparty risk in derivatives and hedge funds, and at UBS as Director of Prime Services, overseeing risk management for execution and clearing services. Earlier roles at Barclays Investment Bank and Tudor Investment Corporation involved counterparty and portfolio risk management, notably in structured products and global macro funds. Steven began the career as a Risk Analyst at Soros Fund Management. Academically, Steven holds a Master's degree in Statistics from Columbia University and a Bachelor's degree in Computer Science from Brandeis University.

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