Feng Xia, Cfa
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Feng Xia, Cfa Email & Phone Number

Vice President, Global Head of Model Risk Management at TD
Location: Toronto, Ontario, Canada 9 work roles 2 schools
1 work email found @td.com LinkedIn matched
✓ Verified July 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email

Work email f****@td.com
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Current company
TD
Role
Vice President, Global Head of Model Risk Management
Location
Toronto, Ontario, Canada
Company size

Who is Feng Xia, Cfa? Overview

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Quick answer

Feng Xia, Cfa is listed as Vice President, Global Head of Model Risk Management at TD, a with 1 employees, based in Toronto, Ontario, Canada. AeroLeads shows a work email signal at td.com and a matched LinkedIn profile for Feng Xia, Cfa.

Feng Xia, Cfa previously worked as Vice President, Model Validation at Td and Associate Vice President, Model Validation & Management, Risk Management at Td. Feng Xia, Cfa holds M.A., Economics from Mcgill University.

Company email context

Email format at TD

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*@td.com
68% confidence

AeroLeads found 1 current-domain work email signal for Feng Xia, Cfa. Compare company email patterns before reaching out.

Profile bio

About Feng Xia, Cfa

Feng Xia, Cfa is a Vice President, Global Head of Model Risk Management at TD. He possess expertise in credit risk, financial risk, market risk, financial modeling, risk management and 6 more skills.

Listed skills include Credit Risk, Financial Risk, Market Risk, Financial Modeling, and 7 others.

Current workplace

Feng Xia, Cfa's current company

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TD
Td
Vice President, Global Head of Model Risk Management
Toronto, ON, CA
Employees
1
AeroLeads page
9 roles

Feng Xia, Cfa work experience

A career timeline built from the work history available for this profile.

Vice President, Global Head Of Model Risk Management

Td

Toronto, On, Ca

Vice President, Global Head Of Model Risk Management

Td

Toronto, Ontario, Canada

Lead both model validation and model governance functions across the Enterprise

Vice President, Model Validation

Td

Lead the validation and approval of all models used across the Bank

Nov 2015 - Aug 2018

Associate Vice President, Model Validation & Management, Risk Management

Td

Lead a team of quantitative professionals to validate various types of risk models, which include Non-retail Credit Risk Rating/Parameter models, DFAST and CCAR models, ECAP models and Operational Risk AMA models.

Sep 2011 - Oct 2015

Associate Vice President, Risk Model Validation, Credit Risk Policy

Td

Built a team of quantitative professionals to develop methodology, best practice and validate various types of risk models, which include Non-retail Credit Risk Rating Systems and Market Risk VaR models.

Sep 2005 - Sep 2011

Manager, Internal Risk Ratings, Credit Risk Strategy

Td
Feb 2003 - Sep 2005

Manager, Portfolio Credit Risk Analytics, Credit Risk Strategy

Td
Feb 2000 - Feb 2003

Portfolio Manager, Risk Management

Td
Mar 1999 - Feb 2000

Sr. Modeling Analyst, Database Marketing

Td
Dec 1996 - Mar 1999
2 education records

Feng Xia, Cfa education

FAQ

Frequently asked questions about Feng Xia, Cfa

Quick answers generated from the profile data available on this page.

What company does Feng Xia, Cfa work for?

Feng Xia, Cfa works for TD.

What is Feng Xia, Cfa's role at TD?

Feng Xia, Cfa is listed as Vice President, Global Head of Model Risk Management at TD.

What is Feng Xia, Cfa's email address?

AeroLeads has found 1 work email signal at @td.com for Feng Xia, Cfa at TD.

Where is Feng Xia, Cfa based?

Feng Xia, Cfa is based in Toronto, Ontario, Canada while working with TD.

What companies has Feng Xia, Cfa worked for?

Feng Xia, Cfa has worked for Td.

How can I contact Feng Xia, Cfa?

You can use AeroLeads to view verified contact signals for Feng Xia, Cfa at TD, including work email, phone, and LinkedIn data when available.

What schools did Feng Xia, Cfa attend?

Feng Xia, Cfa holds M.A., Economics from Mcgill University.

What skills is Feng Xia, Cfa known for?

Feng Xia, Cfa is listed with skills including Credit Risk, Financial Risk, Market Risk, Financial Modeling, Risk Management, Banking, Financial Analysis, and Credit.

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