About the Author
Sean C. Keenan is currently a Senior Managing Director at AIG, responsible for Model Risk Management. He spent much of his career doing applied statistical and econometric modeling primarily in the credit and economic capital areas and published a variety of articles and book chapters on those topics. He has held quantitative analytics positions at an insurance company, a large finance company, a large bank, a rating agency and a financial services software company, and spent time as the IT Director for a media financing company. He holds a PhD in economics and a BA in history/economics, both from New York University.
Get Financial Institution Advantage and the Optimization of Information Processing now with the O’Reilly learning platform.
O’Reilly members experience books, live events, courses curated by job role, and more from O’Reilly and nearly 200 top publishers.