Claude Etienne

Claude Etienne

Division Risk Officer, Economic And Risk Analysis Division @ U.S. Securities and Exchange Commission

About Claude Etienne

Claude Etienne serves as the Division Risk Officer for the Economic and Risk Analysis Division at the U.S. Securities and Exchange Commission, a position he has held since 2014. He previously worked as a Senior Business Analyst at Fannie Mae and as a Senior Risk Analyst for Operational Risk at Ginnie Mae.

Work at U.S. Securities and Exchange Commission

Claude Etienne has served as the Division Risk Officer in the Economic and Risk Analysis Division at the U.S. Securities and Exchange Commission since 2014. In this role, he is responsible for overseeing risk management strategies and ensuring compliance with regulatory standards. His work contributes to the SEC's mission of protecting investors and maintaining fair, orderly, and efficient markets. The position requires a deep understanding of financial systems and regulatory frameworks.

Previous Experience at Ginnie Mae

Before joining the SEC, Claude Etienne worked at Ginnie Mae as a Senior Risk Analyst specializing in operational risk from 2010 to 2014. His responsibilities included assessing and managing risks associated with operational processes. This role involved analyzing data and implementing strategies to mitigate potential risks, thereby enhancing the organization's operational resilience.

Experience at Fannie Mae

Claude Etienne began his career at Fannie Mae, where he worked as a Senior Business Analyst from 2006 to 2010. In this position, he was involved in analyzing business processes and providing insights to improve operational efficiency. His work supported Fannie Mae's objectives in the housing finance sector, contributing to the organization's overall performance.

Education and Expertise

Claude Etienne possesses a strong background in risk analysis and business operations. His educational qualifications and professional experiences have equipped him with the skills necessary to navigate complex financial environments. His expertise includes risk management, operational analysis, and regulatory compliance, which are essential for his current role at the SEC.

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