New York, New York, United States
I am a Risk Analyst at Barclays within the Investment Bank. I graduated from Penn State’s Smeal College of Business with a degree in Risk Management, where I developed a strong foundation in financial analysis, valuation, and market dynamics. In my current role, I support firmwide risk initiatives through stress testing, balance sheet analysis, and enhancements to internal reporting and modeling processes to improve transparency and decision-making. Previously, I interned in Strategic Credit Analytics at Barclays, where I analyzed credit performance trends, benchmarked against peers, and translated data into actionable insights for senior stakeholders. Through my experience and involvement in Penn State’s investment and derivatives organizations, I have built a strong interest in the intersection of risk and markets, and I am focused on continuing to develop expertise across credit and market risk while deepening my understanding of trading and capital markets.
Funding and Liquidity Risk Credit Risk Review Group
Strategic Credit Risk and Acquisitions