What I am doing is to monitor the bank’s market exposure and liquidity position to ensure financial stability. My role involves assessing interest rate and foreign exchange risks, conducting stress tests, and ensuring compliance with U.S. regulatory requirements. I also analyze cross-border capital flows to evaluate their impact on the bank’s risk profile.

Work Experience
  • Market and Liquidity Risk Analyst
  • Industrial and Commercial Bank of China, New York Branch
Communities
Enterprise Risk Management
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