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Nathan Pohlman Location
New York, NY, US
Nathan Pohlman Work
2014 -now Market Risk Manager @
2011 -2014 Senior Analyst @
Nathan Pohlman Education
Columbia University
M.A (Mathematics of Finance)
2009-2010
Rice University
B.A (Economics)
2004-2009
Nathan Pohlman Skills
R
VBA
SAS
Matlab
Stata
C++
SQL
C
Microsoft Excel
Visual Studio
PowerPoint
Microsoft Word
Linear Algebra
Partial Differential Equations
Volatility
Interest Rate Derivatives
MBS
Time Series Analysis
Quantitative Finance
Mathematica
QRM
Risk Management
Mathematics
Market
Interest Rate
CDS
Numerical Analysis
Cost
Finance
Embedded Systems
Management
Simulations
Cit
ALM
Statistics
CRM
Physics
Graduate Record Examinations
Calculus
Valuation
Stochastic Methods
Capital Markets
Languages
Strategy
Discrete Mathematics
Strategies
Practitioners
Computation
Analysis
Financial Markets
ETL
Rice
Economics
Houston
Corporate Finance
Financial Engineering
Moving
Applications
Linear Regression
Modeling
Account Creation
Splines
Marketing
Pde
Project Planning
SAT
Project
Pricing
Ordinary Differential Equations
VAR
International
Art
Code
Partial Differential
New York
Investments
Software
Rate
Theory
Treasury
Real Analysis
Quantitative Risk
Econometrics
Conceptual Modeling
Stochastic Processes
Summit
Black Scholes
Nathan Pohlman Summary
Nathan Pohlman, based in New York, NY, US, is currently a Market Risk Manager at Santander Bank, N.A.. Nathan Pohlman brings experience from previous roles at CIT. Nathan Pohlman holds a 2009 - 2010 M.A in Mathematics of Finance @ Columbia University. With a robust skill set that includes R, VBA, SAS, Matlab, Stata and more. Nathan Pohlman has 3 emails and 1 mobile phone numbers on RocketReach.
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