OCC
Mark Brown is an experienced financial professional with a robust background in model risk governance and quantitative risk management. Currently serving as the Executive Director of Model Risk Governance at OCC since January 2015, Mark has established a dedicated Model Risk Governance Team and chairs the Model Risk Working Group, engaging with regulators and managing comprehensive risk management processes and policies. Prior to this role, Mark held various positions at OCC, including Director and Manager within Quantitative Risk Management, where responsibilities included developing frameworks for monitoring model inventories and remediating regulatory findings. Mark also has experience as a consultant and options trader and has a strong educational foundation with an MS in Computational Finance and an MBA in Finance from DePaul University.
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