Sean C. Rieder, CFA has a diverse and extensive work experience in the finance industry. Sean C. is currently working as a Controller at VOLO since June 2021. In their previous role as a Consultant at Phoenix Management Services from April 2019 to May 2021, Sean provided management consulting and capital advisory services for both private and public companies, specializing in operational assessments, financial forecasting, and M&A activities.
Prior to that, Sean worked at Hirtle, Callaghan & Co. as part of the Portfolio Management team from June 2013 to April 2019. In this role, they collaborated with Portfolio Managers to create customized investment portfolios for high-net-worth clients and institutions. Sean C. also played a key role in building private equity portfolios, focusing on small and mid-market buyout funds, venture capital, and growth equity funds.
Sean's earlier experience includes working as an Investment Analyst at Turner Investment Partners, L.P. in 2012, where they supported fundamental analysis, trade operations, and portfolio management across various strategies. Sean C. also served as a High Yield Credit Analyst at Goldman Sachs in 2012, where they managed client assets and executed trades in high yield and alternative fixed income credit mandates.
Sean started their career as an Investment Analyst at Turner Investment Partners, L.P. in 2011, where they provided support for portfolio management and trade operations. Prior to that, they gained experience as an Investment Analyst at Keystone Financial Group in 2010.
Before transitioning to the finance industry, Sean worked as a Project Manager at Owens Builders from 2006 to 2009 and as an Accounts Manager at Springwater Enterprises in 2010.
Overall, Sean C. Rieder, CFA possesses a strong background in finance, with expertise in portfolio management, investment analysis, and consulting.
Sean C. Rieder, CFA earned a Bachelor of Science degree in Finance from Penn State University, graduating magna cum laude in 2013. Additionally, they hold certifications as a CFA Charterholder from the CFA Institute, and they have completed the Series 65 and Series 79 exams in Uniform Investment Adviser Law and Investment Banking Representative, respectively. The exact dates of when they obtained these certifications are unknown.
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