Rutgers, The State University of New Jersey - Rutgers Business School
Master of Quantitative Finance (Financial Mathematics)
2012 - 2014
East China Normal University
Bachelor in Economics (Finance)
2008 - 2012
Hefei No.1 Middle School
Yifan Zhu's Skills
Risk Management
Financial Modeling
Excel and VBA
R
SQL
MATLAB
Stress Test
Basel I
Basel II
Basel III
Yifan Zhu's Summary
Yifan Zhu, based in Zhejiang, China, is currently a Quantitative Risk Analyst at Santander Bank, N.A., bringing experience from previous roles at CITIC Investment Holdings Limited and State Street. Yifan Zhu holds a 2012 - 2014 Master's degree in Quantitative Finance @ Rutgers Business School. With a robust skill set that includes Risk Management, Financial Modeling, Excel and VBA, R, SQL and more, Yifan Zhu contributes valuable insights to the industry. Yifan Zhu has 1 email on RocketReach.