Eric Freeman

Eric Freeman

Mark Risk Analyst Senior Vice President @ Jefferies

About Eric Freeman

Eric Freeman is a Senior Vice President and Market Risk Analyst at Jefferies & Company, with extensive experience in risk analysis and trading across several major financial institutions.

Company

Eric Freeman is currently working at Jefferies & Company in Greater New York City Area. He holds the position of Mark Risk Analyst - Senior Vice President. Freeman has been with Jefferies & Company since 2013, where he communicates material risk issues to key executives, performs in-depth analyses of issuer concentrations, collaborates with the trading desk, and ensures adherence to the firm's control framework.

Title

Eric Freeman serves as the Mark Risk Analyst - Senior Vice President at Jefferies & Company. In this role, he is responsible for a variety of crucial tasks, including communicating major risk issues, performing analyses for assessing risk/reward profiles, and collaborating with the trading desk. He also ensures compliance with the firm's control framework.

Prior Experience at Royal Bank of Scotland

Before his current role, Eric Freeman worked at the Royal Bank of Scotland in Stamford, CT. From 2012 to 2013, he was a Market Risk Analyst - Vice President. Preceding this, he served as a Market Risk Analyst - Associate from 2010 to 2012. During his tenure, he gained extensive experience in market risk analysis, which helped pave the way for his future roles.

Educational Background

Eric Freeman completed his undergraduate studies at Tulane University, specifically at the A.B. Freeman School of Business. He studied Finance and earned a Bachelor of Science in Management, graduating in 2005. This academic foundation played a significant role in shaping his professional career in finance and risk analysis.

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