Amani Barghouty
About Amani Barghouty
Amani Barghouty serves as the Director of Risk Management at Sallie Mae, bringing extensive experience in credit risk management from previous roles at Hyundai Capital America and the Royal Bank of Scotland.
Current Role at Sallie Mae
Amani Barghouty serves as the Director of Risk Management at Sallie Mae. In this role, which began in 2021, Barghouty is responsible for overseeing risk management strategies and ensuring compliance with regulatory requirements. The position involves analyzing potential risks that could impact the organization and implementing measures to mitigate those risks.
Previous Experience in Risk Management
Prior to joining Sallie Mae, Amani Barghouty held several significant positions in risk management. From 2019 to 2021, Barghouty worked at Hyundai Capital America as the Director of Collection Analytics & Strategy. Before that, Barghouty was involved with Hyundai Card∙Life∙Capital∙Commercial in Seoul, Korea, from 2017 to 2019, focusing on global risk management. Earlier roles included Vice President positions at Royal Bank of Scotland Business, where Barghouty specialized in various aspects of credit risk management.
Educational Background
Amani Barghouty obtained a Master of Business Administration (MBA) from Dalhousie University. Additionally, Barghouty earned a Bachelor of Commerce (B.Com.) degree from Saint Mary's University. This educational foundation supports Barghouty's expertise in risk management and financial strategies.
Career Timeline
Amani Barghouty has a diverse career spanning multiple organizations and roles in risk management. Barghouty began at Royal Bank of Scotland Business in 2005, serving as Vice President for Consumer Cards Credit Risk until 2008. After that, Barghouty continued with the bank in various Vice President roles until 2014. Barghouty then transitioned to Hyundai Capital America, where Barghouty worked until 2017 before moving to Hyundai Card∙Life∙Capital∙Commercial in Korea. The career path reflects a strong focus on credit risk and analytics.