Andrew Chen is currently the Head of the Market and Liquidity Risk Management Group at MUFG in Hong Kong, leveraging over 15 years of experience in equity derivative trading and risk portfolio management. Previously, Andrew held roles at HSBC and Bank of Tokyo-Mitsubishi UFJ, advancing from market risk manager to senior positions that involved managing risk exposures and developing reporting protocols. Andrew's educational background includes a Bachelor's degree in Banking and International Finance from City University and a Master's degree in Management of Regulation of Risk from the London School of Economics.
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