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Qi Hang Email & Phone Number

Teaching Associate II - Financial Risk Management, ESG and ERM at Columbia University Enterprise Risk Management
Location: Jersey City, New Jersey, United States 6 work roles 5 schools
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Role
Teaching Associate II - Financial Risk Management, ESG and ERM
Location
Jersey City, New Jersey, United States

Who is Qi Hang? Overview

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Quick answer

Qi Hang is listed as Teaching Associate II - Financial Risk Management, ESG and ERM at Columbia University Enterprise Risk Management, based in Jersey City, New Jersey, United States. AeroLeads shows a matched LinkedIn profile for Qi Hang.

Qi Hang previously worked as CFO and Board Member at Turnkey Resources and Assistant Director - Rating Agency Relations at Aig. Qi Hang holds Doctor Of Philosophy (Phd) All But Dissertation, Financial Economics, Gpa: 3.8 from Fordham University.

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Email format at Columbia University Enterprise Risk Management

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Columbia University Enterprise Risk Management

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Profile bio

About Qi Hang

Qi Hang is a Teaching Associate II - Financial Risk Management, ESG and ERM at Columbia University Enterprise Risk Management. Colleagues describe them as "Ms. Qi has an exceptionally keen analytical intellect. She also has a wonderful personality and is a joy to work with. "

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Columbia University Enterprise Risk Management
Columbia University Enterprise Risk Management
Teaching Associate II - Financial Risk Management, ESG and ERM
Jersey City, NJ, US
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6 roles

Qi Hang work experience

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

Cfo And Board Member

Current

https://www.turnkey-re.com/

  • Strategic Growth:
  • Played a pivotal role in shaping the company's long-term strategic direction by actively participating in board meetings and offering insights on market trends, competition, and emerging opportunities.
  • Led initiatives to identify and capitalize on growth opportunities in existing and new markets.
  • Managed a threefold increase in staff size and successfully expanded operations to two new international locations in Asia and South America, bolstering global presence.
  • Oversaw office selection, talent acquisition, and ensured adherence to local regulatory requirements.Financial Oversight:
  • Overseeing the financial health of the company, including budgeting, financial planning, and monitoring key financial metrics.
Oct 2020 - Present

Teaching Associate Ii - Financial Risk Management, Esg And Erm

Current

New York, New York, United States

  • Actively engaged with students in a collaborative academic environment, providing valuable insights and mentorship in the field of risk management, via in-class teaching and discussion facilitation, mentoring students.
  • Achieved an increase in student interest and enrollment: a tenfold increase for the ESG and ERM course from 25 to 200 students, and 25% increase for the financial risk management course from 40 students to 50 students.
  • Gained a deep understanding of risk management through in-depth exploration of topics such as the Risk Management framework, Financial Risk Management including Value at Risk (VaR), Regulatory Capital Assessment.
  • This understanding of risk management principles equips me with the knowledge necessary to make informed, strategic decisions at the board level, particularly in areas related to risk mitigation, compliance, and.
Jan 2021 - Present

Assistant Director - Rating Agency Relations

Aig

Greater New York City Area

  • Managed relationships with rating agencies (S&P, A.M. Best, Moody’s, Fitch) on AIG’s behalf, most notably for all capital related discussions, and rating matters for rated subsidiaries in Europe and Asia Pacific.
  • Contributed to maintaining and upgrading entities’ ratings by: – Advising C-suite business leaders and finance team on rating assessment of companies from all risk perspectives and assist in rating strategy.– Preparing.
  • Achieved big capital savings by facilitating capital related discussions with rating agencies, and leading rating agency capital model reviews.
  • Contributed to entity capital actions and business decisions from rating agency capital and rating impact standpoint.
Nov 2013 - Sep 2020

Manager - Actuarial

Aig

Greater New York City Area

  • Coordinated development, implementation, monitoring, communication, and governance of long term incentive (LTI) and short term incentive (STI) compensation plans for all AIG employees, leading capital management.
  • Served as New York point person for client support and overall operational support for Shanghai Analytics Center (SAC), a main center of excellence providing quantitative analysis, analytical tools, and market.
  • Supported capital actions by facilitating bi-weekly capital management working group for AIG GI and AIG L&R to discuss regulatory and rating agencies capital strategy and all other capital management related issues.
  • Key team member to improve compensation incentive plan by re-designing plan and performance metrics and guiding businesses and functions to interpret STI/LTI plan and monitor performance measurement metrics correctly.
  • Facilitated CRMC approval, reviewed quarterly accrual results for LTI and STI plan, and managed adjudication requests to adjudication committee.
  • Improved process efficiencies and governance by drafting policies, processes, and calendars to enhance governance around LTI and STI metrics-setting, monitoring, and request to change.
Aug 2011 - Nov 2013

Senior Financial Analyst - Financial Planning And Analysis

Aig

Greater New York City Area

  • Led consolidation and analysis of AIG enterprise wide financial results, capital variance, financial forecast, and budget. Managed a team of 6 analysts to produce and deliver quarterly financial results and analysis to.
  • Coordinated annual budget process, reviewed budget submitted by each business, and developed analytical commentary.
  • Managed capital variance analysis and assisted in capital management work streams.
  • Reviewed, prepared and presented quarterly memos on AIG’s economic capital position and risk management tools utilized.
  • Managed income statement preparation and prepared MD&A commentary for 10K/Q disclosure.
  • Led mini teams to review external investor and rating agency presentations for accuracy and served as point of contact for accountants and ad hoc consolidation requests from outside of the department.
Jul 2007 - Aug 2011
5 education records

Qi Hang education

Doctor Of Philosophy (Phd) All But Dissertation, Financial Economics, Gpa: 3.8

Activities and Societies: Awarded full scholarship for doctoral studies

Master'S Degree, International Political Economy And Development, Gpa: 3.8

Activities and Societies: Awarded full scholarship Training in fundamental economic analysis and political risk assessment for investment.

Certificate In Chinese And American Studies, Us-China Relations

Activities and Societies: Awarded Outstanding Scholarships for Chinese-American Studies Graduate-level program with coursework in.

FAQ

Frequently asked questions about Qi Hang

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What company does Qi Hang work for?

Qi Hang works for Columbia University Enterprise Risk Management.

What is Qi Hang's role at Columbia University Enterprise Risk Management?

Qi Hang is listed as Teaching Associate II - Financial Risk Management, ESG and ERM at Columbia University Enterprise Risk Management.

Where is Qi Hang based?

Qi Hang is based in Jersey City, New Jersey, United States while working with Columbia University Enterprise Risk Management.

What companies has Qi Hang worked for?

Qi Hang has worked for Columbia University Enterprise Risk Management, Turnkey Resources, and Aig.

How can I contact Qi Hang?

You can use AeroLeads to view verified contact signals for Qi Hang at Columbia University Enterprise Risk Management, including work email, phone, and LinkedIn data when available.

What schools did Qi Hang attend?

Qi Hang holds Doctor Of Philosophy (Phd) All But Dissertation, Financial Economics, Gpa: 3.8 from Fordham University.

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