Tongyu Z

Risk System Mangement at Bank of Nanjing
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Contact Information
us****@****om
(386) 825-5501
Location
Pudong, Shanghai, China, CN

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Credentials

  • FRM
    Global Association of Risk Professionals (GARP)
    Dec, 2020
    - Nov, 2024
  • 证券从业资格证书
    中国证券业协会
    Jun, 2019
    - Nov, 2024
  • CIA
    The Institute of Internal Auditors Inc.
    Dec, 2018
    - Nov, 2024

Experience

    • China
    • Banking
    • 1 - 100 Employee
    • Risk System Mangement
      • Aug 2020 - Present

      Credit risk model management Risk monitoring 完成信用风险模型(评分卡、FICO)在系统内的验证、测试和部署,跟踪业务风险表现是否在风险容忍度之内。 不断优化风险监测预警机制和策略规则,持续监测业务异常风险(异常行为监测、业务异常通过量、模型数据异常),保证对风险的及时识别和预警。 Credit risk model management Risk monitoring 完成信用风险模型(评分卡、FICO)在系统内的验证、测试和部署,跟踪业务风险表现是否在风险容忍度之内。 不断优化风险监测预警机制和策略规则,持续监测业务异常风险(异常行为监测、业务异常通过量、模型数据异常),保证对风险的及时识别和预警。

    • Risk Audit Manager
      • Jul 2017 - Aug 2020

      Effectively identify the credit risk, operational risk and market risk of bank,and assess and measure the risk of banking products 熟悉银行全面风险管理体系建设,熟悉信用、市场和操作风险计量工作,参与审查和评估银行总行多个业务条线 10 个以上风险审计/咨询项目,有效评价信贷资产、同业投资和理财等资产类业务产品在流程管控和合规管理方面的风险状况。 有效创建风险分析模型 60 个以上,通过数据分析和预测,进行风险计量和损失评估,撰写风险分析报告。 Effectively identify the credit risk, operational risk and market risk of bank,and assess and measure the risk of banking products 熟悉银行全面风险管理体系建设,熟悉信用、市场和操作风险计量工作,参与审查和评估银行总行多个业务条线 10 个以上风险审计/咨询项目,有效评价信贷资产、同业投资和理财等资产类业务产品在流程管控和合规管理方面的风险状况。 有效创建风险分析模型 60 个以上,通过数据分析和预测,进行风险计量和损失评估,撰写风险分析报告。

Education

  • Xi'an Jiaotong University
    Master's degree, Electronic And Computer Engineering
    2014 - 2017
  • NUS Department of Pharmacy
    Exchange student, Computer Science
    2015 - 2015
  • Xi'an University of Posts and Telecommunications
    Bachelor's degree, Electronic Information Science and Technology
    2010 - 2014

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