Leon Cherniavsky
Chief Investment Officer
Portfolio Manager at Fleet Wealth Management
Greater New York City Area Banking
Current Fleet Wealth Management
Previous CITIGROUP, Deutsche Bank, Aleri
Education New York University
As Chief Market Strategist engineered products and strategies for Active Money Management.
Responsible for key elements of asset management process: research, methodology selection, data collection and analysis, prototyping, back-testing, risk-scaled product development, trading platform selection, transacting in capital markets and performance monitoring.
Extensive knowledge and hands-on experience in the financial industry, market and credit risk analysis, and computer systems. Developed and successfully implemented systematic, heuristically-based, scale-able trading strategies for equity and fixed income products.
Experience
Fleet Wealth Management
Chief Market Strategist
2009 – Present (11 years) Greater New York City Area
As Chief Market Strategist engineered products and strategies for Active Money Management.
Responsible for key elements of asset management process: research, methodology selection, data collection and analysis, prototyping, back-testing, risk-scaled product development, trading platform selection, transacting in capital markets and performance monitoring.
With nearly 30 years of Wall Street experience, a hand on professional with extensive knowledge in financial markets, computer systems, market and credit risk analysis and modeling, conventional counterparty risk. During the last ten years developed and successfully implemented systematic, heuristically-based, scalable trading strategies for equity and fixed income products.
CITIGROUP
SR. Vice President
August 2004 – June 2008 (3 years 11 months) Greater New York City Area
Analysis, approval and risk management of capital market transactions for Energy, Commodity, Mortgage REIT's and Hedge Fund client portfolios. Credit due diligence and documentation. Modeling and stress testing of derivative portfolios.
Deutsche Bank
Director
August 2001 – September 2002 (1 year 2 months) Greater New York City Area
Regional Head of North America of quantitative Credit Risk Management Group. Analysis of risk and profitability of derivative and other Capital Markets transactions and portfolios.
Aleri
Product Manager
2000 – 2001 (1 year)
Bankers Trust, Deutsche Bank
Director
1993 – 2000 (7 years) Greater New York City Area
Credit Risk Manager. Responsible for the evaluation of derivatives and other Capital Market Transactions. Modeling of market and credit risks, scenario and stress analysis. Development of methods of evaluating risk capital. Conducted Credit Training and Seminars for Credit staff worldwide.
Credit Officer. Responsible for Energy and Commodity portfolios.
Swiss Bank Corporation
Assistant Vice President
September 1985 – May 1993 (7 years 9 months) Greater New York City Area
Credit Analyst, developer of analytical models for systematic and standardized Credit Scoring. Oversaw integration of peripheral systems into a centralized MIS credit risk platform.
Programmer Analyst, Project Manager in IT responsible for Securities Custody Area.