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"I think that this is an important initiative that meets the needs of the business community, UCONN's leadership role and the students."
- Edward Mahony Pharma
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| Graduates will be well prepared for professional positons in:
- Investment Banking
- Commercial Banking
- Central Banks
- Governments
- Asset-Liability Management
- Risk Management
- Primary & Derivative Securities Valuation
- Financial Information Systems Management
- Securities Trading
- Credit Modeling
- Collateral Analysis
- Portfolio Management
- Risk Analysis
- Index Options Analysis
- Business Analysis
with job titles, including:
- Associate, Market Risk
- Credit Risk Senior Examiner
- Deputy Head of AML Compliance
- Director Credit Risk Modeling
- Director, Investments Credit Risk
- Director, Operational Risk
- Director, Portfolio Risk Management
- Director, Risk Governance
- Director, Risk Modeling
- Enterprise Risk Management Consultant
- Head of Market Risk
- Head of Research and Analytics
- Head of Risk Strategy
- Investment Risk Analyst
- Managing Director–Ratings Analytical
- Market Risk Manager–Vice President
- Policy Advisor–Regulatory Affairs
- Portfolio Financial Analyst
- Quantitative Researcher,
- Securities Analyst
- Senior Director of Credit Risk
- Senior Derivatives Risk Modeling and Valuation Specialist
- Senior Financial Engineer
- Senior Manager, Internal Audit, Financial Markets
- Senior Operational Risk Analyst
- Senior Risk Analyst / Capabilities Manager
- Senior Risk Manager
- SVP Macro Economist
- Technical Architect-III
- Treasury Manager
- Vice President, Market Risk, Portfolio Risk
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