Serene L.
About Serene L.
Serene L. is the Vice President at Jefferies with extensive experience in banking and financial risk management.
Title at Jefferies
Serene L. holds the position of Vice President at Jefferies since 2021. In this role, she has been involved in high-level decision-making and strategic initiatives within the financial sector. Her responsibilities likely involve overseeing various financial operations, risk management, and capital strategies.
Previous Experience at Citi
Before joining Jefferies, Serene L. worked at Citi as a Capital Strategy Analytics Associate from 2015 to 2021. During her tenure, she gained extensive experience in capital strategy and analytics, contributing to her expertise in financial risk management and optimization. Her role involved complex financial modeling and the implementation of strategic financial initiatives.
Background in Banking and Finance
Serene L.'s career in banking and finance began with roles at China Minsheng Banking Corp. Ltd. as a Wealth Management Analyst and at Bank of China as an International Settlement Analyst. These early positions provided her with a solid foundation in wealth management and international finance. Additionally, she has developed Counterparty Credit Risk IMM models and implemented the Basel III framework.
Education and Certifications
Serene L.'s educational background includes a Master's Degree in Financial Mathematics from Lehigh University and a Bachelor's Degree in Finance and Economics from Anhui University. Additionally, she participated in a study abroad summer program at Towson University. Serene also holds a Chartered Financial Risk Manager (FRM) certification, reflecting her high level of expertise in financial risk management.
Expertise in Derivatives Pricing and Basel III
Serene L. possesses specialized skills in derivatives pricing, which complements her roles in capital strategy and financial optimization. She has also been involved in implementing the Basel III framework across both US and European banking sectors, demonstrating her comprehensive understanding of global financial regulations and risk management practices.