Ariel B. is a seasoned finance professional with extensive experience in market risk management, trading, and portfolio management. Currently serving as a Senior Market Risk Specialist at the Federal Reserve Bank of New York since 2011, Ariel B. focuses on scenario design and risk testing. Previous roles include Lecturer/Consultant at Simon Fraser University and Trader/Portfolio Manager at Constellation Capital Management, where Ariel B. managed substantial investment portfolios. Earlier experience includes positions as Director at Citigroup, Structured Credit Trader at Deutsche Bank, and VP at BNP Paribas, with a strong background in credit derivatives and emerging markets. Ariel B. holds an MBA in Finance from Columbia Business School, an AB in Mathematics from the University of California, Berkeley, and a Master's degree in Computer Science from Columbia University.
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