Image of Stephan Meili

Stephan Meili

VP - Market Risk Manager for Credit Derivatives, Emerging Markets and Structured Finance @ Barclays

Managing Director - Risk Management at Citi

New York, New York

Ranked #701 out of 14,029 for VP - Market Risk Manager for Credit Derivatives, Emerging Markets and Structured Finance in New York

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Stephan Meili's Email Addresses & Phone Numbers

Stephan Meili's Work Experience

Barclays

VP - Market Risk Manager for Credit Derivatives, Emerging Markets and Structured Finance

April 2002 to January 2005

New York, USA

Credit Suisse

VP - US Head of Counterparty Exposure Measurement

June 2000 to April 2002

New York, USA

Barclays

Director - US Head of Model Validation

January 2005 to August 2007

New York, USA

Stephan Meili's Education

University of Basel, Switzerland

Lic.rer.pol., Economics and Business Administration (thesis in econometrics)

Northwestern University - Kellogg School of Management

Master of Science (MS), Finance (spent 2 years in the Finance PhD program)

Swiss Army

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Stephan Meili's Professional Skills Radar Chart

Based on our findings, Stephan Meili is ...

Sympathetic
Initiating
Big picture

What's on Stephan Meili's mind?

Based on our findings, Stephan Meili is ...

52% Left Brained
48% Right Brained

Stephan Meili's Estimated Salary Range

About Stephan Meili's Current Company

Barclays

Frequently Asked Questions about Stephan Meili

What company does Stephan Meili work for?

Stephan Meili works for Barclays


What is Stephan Meili's role at Barclays?

Stephan Meili is VP - Market Risk Manager for Credit Derivatives, Emerging Markets and Structured Finance


What is Stephan Meili's personal email address?

Stephan Meili's personal email address is st****[email protected]


What is Stephan Meili's business email address?

Stephan Meili's business email addresses are not available


What is Stephan Meili's Phone Number?

Stephan Meili's phone (212) ***-*200


What industry does Stephan Meili work in?

Stephan Meili works in the Financial Services industry.


About Stephan Meili

📖 Summary

VP - Market Risk Manager for Credit Derivatives, Emerging Markets and Structured Finance @ Barclays From April 2002 to January 2005 (2 years 10 months) New York, USAVP - US Head of Counterparty Exposure Measurement @ Credit Suisse From June 2000 to April 2002 (1 year 11 months) New York, USADirector - US Head of Model Validation @ Barclays Responsible for model validation in the US and LATAM and globally responsible for validation of models for credit and EM derivatives, securitized products and counterparty exposure measurement. From January 2005 to August 2007 (2 years 8 months) New York, USAAssociate Director - Quantitative Asset Manager and Risk Manager @ Swiss Bank Corporation (UBS) Quantitative asset manager (fixed income, equity, global balanced, portfolio insurance) and risk manager for equity funds. From September 1991 to August 1995 (4 years) SwitzerlandGlobal Head of Market Risk for Securitized Products Trading and Municipal Derivatives @ Barclays Global Head of Market Risk for Securitized Products Trading, Securitization Derivatives, Strategic Credit Portfolio Management and Municipal Derivatives; Credit Risk Officer for European ABS. Responsible for oversight of Barclays' investment in a hedge fund.Responsible for the implementation of the risk aspect of the Volcker Rule.Represented Barclays at industry forums and conferences on financial regulation. Engaged in advocacy related to Dodd-Frank, Basel and FSB regulation on behalf of Barclays and industry groups.Significant involvement in managing regulatory capital. From September 2009 to July 2015 (5 years 11 months) New York, USADirector - US Head of Market Risk for Rates, FX, Prime Services, Municipals and Prime RMBS @ Barclays US Head of Market Risk for Rates, FX, Prime Services, Municipals and Prime RMBSRisk manager responsible for the Lehman legacy assets From August 2007 to September 2009 (2 years 2 months) New York, USASenior Consultant - Financial Services @ PricewaterhouseCoopers Provided risk management (market, credit, operational, insurance, ALM) and strategy consulting services to a broad range of financial services clients and supra-national organizations in the US, Europe and Asia.Taught courses on risk management and derivatives at the Federal Reserve Bank in New York, Washington DC and Philadelphia. From March 1998 to May 2000 (2 years 3 months) New York, USAManaging Director - Risk Management @ Citi - Leading the Convergence Risk effort for the investment, corporate and private bank (responsibilities include development of risk capital, risk rating and liquidity risk methodologies, portfolio risk aggregation as well as policies and procedures with main focus on collateralized and derivatives financing)- Head of the Risk Framework team (development of methodologies and analytics for credit portfolio management).- Product Specialist and senior credit officer for Structured Equity Solutions and other complex financing and derivatives transactions. New York, USA


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In a nutshell

Stephan Meili's Personality Type

Extraversion (E), Sensing (S), Feeling (F), Judging (J)

Average Tenure

3 year(s), 1 month(s)

Stephan Meili's Willingness to Change Jobs

Unlikely

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