Scott E. Bowen Risk Director MBA And M.S.L. (Candidate)
About Scott E. Bowen Risk Director MBA And M.S.L. (Candidate)
Scott E. Bowen is a Director Risk Manager with extensive experience in the financial sector, currently working at UBS in the Greater New York City Area. He holds an MBA and is a candidate for a Master of Studies in Law, with a strong focus on compliance and risk management.
Current Role at UBS
Scott E. Bowen serves as the Director-Risk Manager at UBS, a position he has held since 2019. In this role, he operates in the Greater New York City Area, focusing on risk management strategies and compliance within the organization. His responsibilities include overseeing risk assessment processes and ensuring adherence to regulatory standards.
Previous Experience in Banking
Scott has held various positions in the banking sector prior to his current role at UBS. He worked at Conestoga Bank as Vice President of Commercial Credit Administration from 2013 to 2016. Before that, he served as Assistant Vice President of Compliance at TD from 2010 to 2013. His experience also includes roles at U.S. Bank, Santander Bank, N.A., Hanover Street Capital, HSBC, and Wells Fargo, where he developed expertise in commercial lending and compliance.
Educational Background
Scott E. Bowen has a strong educational foundation in business and law. He earned a Master of Business Administration (MBA) in International Business from Washington State University Graduate School. Additionally, he studied Corporate Compliance at Fordham University School of Law, where he obtained a Master of Studies in Law (M.S.L.). He also holds a Bachelor of Science in Business Administration from La Salle University.
Skills and Expertise
Scott is skilled in building relationships across all levels of an organization, which enhances collaboration and communication. He advocates for maintaining an enterprise governance framework and has experience in leading cross-functional teams. His focus includes driving process improvements and fostering a culture of compliance within financial institutions.
Professional Development
In addition to his formal education, Scott completed the National Compliance School through the American Bankers Association in 2011. This program provided him with advanced knowledge and skills in compliance, further enhancing his capabilities in risk management and regulatory adherence.