Who is Thomas Ye? Overview
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Thomas Ye is listed as 数据中心金融风险分析总监 at 渣打银行, based in Binhai, Tianjin, China. AeroLeads shows a matched LinkedIn profile for Thomas Ye.
Thomas Ye previously worked as Lead, Risk Data Analytics and Reporting at Standard Chartered Bank and Senior Risk Manager at Home Credit Consumer Finance Company. Thomas Ye holds Bachelor, Computer Science And Technology from Kunming University Of Science And Technology.
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About Thomas Ye
1. Excellent skills of team/project management, customer coordination, presentation and communication;2. More than 5 years related experience of financial market business, rich knowledge of fixed income instrument, forex and derivatives, including pricing, yields analysis and risk management;3. More than 10 years related experience of financial risk management consultation and implementation, including market risk management (fixed income instruments, forex and derivatives), credit risk (non-retail loans, retail loans and bonds) and liquidity risk (including client behavior forecasting model) and Internal Capital Adequacy Assessment Program (ICAAP);4. More than 10 years related experience of data modelling and quantitative analysis, including application scorecard, behavior scorecard, client behavior model, implied volatility model, pricing model for bonds, derivatives, etc.;5. Rich domain knowledge of valuation, trading strategies and market risk management for fixed income instruments, forex, derivatives;6. More than 10 years development experience of SQL, R/Python;7. Have a good command of both spoken and written English.
Listed skills include Requirements Analysis, Risk Management, Xml, Financial Development, and 13 others.
Thomas Ye's current company
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Thomas Ye work experience
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Lead, Risk Data Analytics And Reporting
CurrentSenior Risk Manager
1. Take the role of risk management expert and participate in the enterprise risk management framework optimization project for Home Credit Consumer Finance Company;2. Lead the team to join the establishment of the market risk management framework (fixed income instruments and derivatives) and the optimization of retail loan credit risk management framework (application scorecard, behavior scorecard and underwriting strategies).
Risk Manager
Take the role of risk management/financial market expert and provide consulting services (data analysis, risk modelling, trading strategies formulation, reports design) of enterprise risk management including credit risk management (internal rating and risk management strategies) and market risk management (fixed income instruments, forex and derivatives) to Haier Finance Company.
Consulting Manager
1. Attend the implementation project of internal rating system for China Securities Depository and Clearing Corporation and consulting project of overall risk management system establishment for China Securities Internet System Corporation. Take the role of consulting manager/project manager and be responsible for requirement analysis, risk modelling, product design, implementation and functional/technical support.2. Lead the design of data mart for capital market.
Team Lead
Lead the team to attend the consulting and implementation projects of Assets/Liabilities Management system. And also lead the team to implement Basel III based on Moody’s RiskAuthority. Responsible for project planning and leading the team to complete requirement analysis, data analysis, risk modeling, implementation and user trainings.Achievement:Company Spot prize for excellent delivery in Basel III implementation project
Senior Consultant
1. Attended the implementation projects of banking risk management system, includingOperational risk, RWA system, etc. Responsible for requirement Analysis, risk modeling, business data analysis, system implementation and user trainings.2. Attended the internal projects, such as reform of RWA product. 3. Attended customer development and biding of new projects.
Senior Software Engineer
Attended the software development projects on the fixed income analysis system (including Government Bond, Corporation Bond, CMO, CDS, etc.) of Thomson Reuters. Responsible for requirements analysis, system design, data analysis, program development and testing of ETL subsystem and yields analysis subsystem.Achievement:Responsible for design and development for Canadian bonds processing module and played a critical role to enable the system to process and analyze Canadian market data to provide yield analysis, trading strategies formulation and pricing
Software Engineer
Attended the software development projects on core banking system of Postal Savings Bank of China. Responsible for requirements analysis, system design, distributed system development (based on Oracle database, using C/C++), testing, system maintenance and user training.Achievement:1. Responsible for the most challenging development of accounting/clearing subsystem which guaranteed the smooth go live of credit card system;2. Responsible for user training in four months since joining the company.
Thomas Ye education
Frequently asked questions about Thomas Ye
Quick answers generated from the profile data available on this page.
What company does Thomas Ye work for?
Thomas Ye works for 渣打银行.
What is Thomas Ye's role at 渣打银行?
Thomas Ye is listed as 数据中心金融风险分析总监 at 渣打银行.
Where is Thomas Ye based?
Thomas Ye is based in Binhai, Tianjin, China while working with 渣打银行.
What companies has Thomas Ye worked for?
Thomas Ye has worked for 渣打银行, Standard Chartered Bank, Home Credit Consumer Finance Company, 海尔金控 Haier Group Financial Holdings, and China Securities Credit Investment Corporation(中证信用增进股份有限公司).
How can I contact Thomas Ye?
You can use AeroLeads to view verified contact signals for Thomas Ye at 渣打银行, including work email, phone, and LinkedIn data when available.
What schools did Thomas Ye attend?
Thomas Ye holds Bachelor, Computer Science And Technology from Kunming University Of Science And Technology.
What skills is Thomas Ye known for?
Thomas Ye is listed with skills including Requirements Analysis, Risk Management, Xml, Financial Development, Dw/Bi, Assets And Liabilities Management, Financial Risk Modelling, and Credit Risk.
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