David Andreoni

David Andreoni Email and Phone Number

SVP, Market Risk Management Group @ US Bank
minneapolis, minnesota, united states
David Andreoni's Location
New York, New York, United States, United States
David Andreoni's Contact Details

David Andreoni work email

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About David Andreoni

David Andreoni is a SVP, Market Risk Management Group at US Bank. He possess expertise in market risk, quantitative finance, quantitative analytics. He is proficient in English.

David Andreoni's Current Company Details
US Bank

Us Bank

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SVP, Market Risk Management Group
minneapolis, minnesota, united states
Website:
usbank.com
Employees:
59540
David Andreoni Work Experience Details
  • Us Bank
    Svp, Market Risk Management Group
    Us Bank Jan 2011 - Present
  • Barclays Capital
    Quantitative Business Analyst
    Barclays Capital Mar 2009 - Oct 2010
    Lead analyst for the Equity Derivatives group’s global risk management and valuations solution. Through this effort I am defined new trading workflows and business processes. Worked with the traders and quant’s to provide "the desk" a complete set of Risk, P&L and Greeks measurements; such as Greek PnL Explained along with PnL Attribution.Worked within the Equity Derivatives Group to create or modify a set of Excel Pricing Templates used to price both flow vol. and structure vol. derivatives along with more complex exotic options that leverage a set of proprietary quantitative analytics. Working with the Sales people and the Traders to design new business processes to improve trade flow through.Worked with the trading desk on developing more robust risk management reports and scenario analysis reports. This included all the first order and second order Greeks along with P&L attribution measurement. Scenario analysis including Spot Ladder and TS Vega reports.
  • The Rohatyn Group
    Quantitative Research Analyst
    The Rohatyn Group Jan 2006 - Dec 2008
    Worked with the fund’s portfolio managers and other investment professionals in creating investment tools, conducting quantitative research, participated in trade origination and provided investment framework-workflow analysis.Created several asset class specific Excel VBA “dashboards” that provided the portfolio managers with a detailed analytical and statistical view of a particular market; such as return performance, risk analysis, correlations and beta analysis. This enabled the PMs to help manage risk and look for trade opportunities through momentum indicators or mean reversion indicators. These markets included FX, Equity Derivatives and Credit Derivatives.
  • Oppenheimerfunds Inc
    Financial Research Analyst
    Oppenheimerfunds Inc 2005 - 2006
  • Nyc Gotham Consulting
    President
    Nyc Gotham Consulting 1995 - 2005
    Principal of a consulting company specializing in project management and business analysis on client server and web based applications. Extensive background in systems functions in the areas of asset management, equity trading and FX trading. Experience with learning and analyzing new businesses; building and managing relationships with business users, technologist and senior management; leading and managing large projects and teams; object oriented design work and data and quantitative analysis.
  • Aig Global Investment Group
    Senior Business Analyst
    Aig Global Investment Group 1997 - 1999
    Responsible for a team of analysts and developers within the AIG Global Investment Group. In addition, involved in assessing, recommending and planning long-term strategic direction of all new investment tool within the AIG Global Investment Group. Project Manager for the LoanStar system built for the Global Securities Lending desk. Was responsible for the design and development. Interacted with the traders and lending desk managers on a daily basis. Carried out extensive business analysis with the New York and Dublin Traders. This system provided the securities traders the ability to trade AIG securities, manage risk and display performance.
  • Citicorp
    Senior Business Analyst
    Citicorp 1996 - 1997
    Team Leader responsible for the design and development of a Collateral Management System. Completely re-engineered an existing Collateral Management system. The rebuild effort included the design of the Sybase 10 database backend code and the front end GUI. Utilizing the newly rebuilt Collateral Management system, our team designed and implemented new coding for the ILC (Insurance Letters of Credit) business.
  • Goldman Sachs
    Business Analyst
    Goldman Sachs 1993 - 1996

David Andreoni Skills

Market Risk Quantitative Finance Quantitative Analytics

David Andreoni Education Details

Frequently Asked Questions about David Andreoni

What company does David Andreoni work for?

David Andreoni works for Us Bank

What is David Andreoni's role at the current company?

David Andreoni's current role is SVP, Market Risk Management Group.

What is David Andreoni's email address?

David Andreoni's email address is da****@****hoo.com

What schools did David Andreoni attend?

David Andreoni attended Columbia University, Suny New Paltz.

What skills is David Andreoni known for?

David Andreoni has skills like Market Risk, Quantitative Finance, Quantitative Analytics.

Who are David Andreoni's colleagues?

David Andreoni's colleagues are Stephanie Quiggins, Hager Wael, Paula Murri, Sandra Wright, Csm, Sa, Michael Mutlu, Amy Okeson, Jill Macchi.

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