Head of Risk and Trading Strategy @ From January 2015 to Present (7 months) Portfolio Manager @ From February 2013 to January 2015 (2 years) Greenwich, CTFixed Income Trading Strategist @ From June 2012 to January 2013 (8 months) New York, NYInvestment Banker @ Analyst in the Consumer and Retail team (2007 - 2009) focused on debt financing for LBO and M&A transactions in the Food and Beverage and Retail sector. Associate in the Healthcare team (2009) focused on M&A advisory, debt and equity. From June 2007 to August 2009 (2 years 3 months) Portfolio Management Analyst - Shipping & Aviation @ Monitored credit exposure to corporate clients. Managed approval process for new credit commitments and trading limits. Modeled impact of LBO/M&A and restructuring transactions on credit quality of corporate clients. From 2006 to 2007 (1 year)
Graduate Work (PhD candidate), Computer Science @ Columbia University - Fu Foundation School of Engineering and Applied Science From 2011 to 2013 MA, Mathematics of Finance @ Columbia University in the City of New York From 2009 to 2011 BA, Classics @ Princeton University From 2002 to 2006 The Hill School From 1998 to 2002 Ian Erb is skilled in: Quantitative Finance, Financial Modeling, C++, Linux, R, SQL, M&A Modeling, Perl, Microsoft Excel, C#, Algorithms, Statistical Modeling, Python, Portfolio Management, Bloomberg, Hedge Funds