David Venet
About David Venet
David Venet serves as a Senior Analyst in Portfolio Risk at Chase, a position he has held since 2015 in Wilmington, Delaware. He has a diverse educational background, including degrees in Business Management and experience in collections and recovery at Bank of America.
Work at Chase
David Venet has been employed at Chase since 2015, serving as a Senior Analyst in Portfolio Risk. His role involves assessing and managing risks associated with the bank's portfolio, ensuring compliance with regulatory standards, and contributing to the overall risk management strategy. He works in Wilmington, Delaware, where he has developed expertise in financial analysis and risk assessment over his nine years with the company.
Education and Expertise
David Venet holds an Associate's Degree in Business Management from DTC College, which he obtained in 1998. His educational background also includes a focus on English as a Second Language at DTC College from 1993 to 1995. Additionally, he completed the French Baccalaureate at Notre Dame in Paris, France, in 1993. His studies in Business & Marketing at the School of Chamber of Commerce further complement his qualifications in the financial sector.
Background
David Venet's professional journey includes a significant tenure at Bank of America, where he worked in Unsecured Collections and Recovery from 2008 to 2014. This six-year experience provided him with insights into financial operations and customer recovery processes, which are valuable in his current role at Chase. His diverse educational background and work experience contribute to his analytical skills in portfolio risk management.
Professional Experience
Prior to his current position at Chase, David Venet accumulated six years of experience at Bank of America, focusing on Unsecured Collections and Recovery. This role involved managing accounts and developing strategies for debt recovery, which enhanced his understanding of risk management in financial services. His experience in both organizations has equipped him with a comprehensive skill set relevant to portfolio risk analysis.