Curriculum Vitae

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Summary

Strategic leader with expertise in real estate finance, climate risk, valuation analytics, and catastrophe modeling. Experienced in leading model development, cross-functional teams, and executive communications across government, private, and academic sectors.


Experience

Director, Risk Analytics and Research
Freddie Mac – Single-Family | 2022–present

Technical Product Manager
Jupiter Intelligence | 2021–2022

SVP, Collateral Valuations & Quantitative Analytics
Bank of America | 2011–2021

Adjunct Professor
California State University, San Marcos | 2013–2015

Visiting Scholar
UCLA Anderson School of Management | 2011–2014

Adjunct Professor
California State University, Northridge | 2009–2010


Skills

Technical: R, Python, SQL, Tableau, QGIS, ArcGIS
Domain: Climate risk scenario analysis, model lifecycle management, regulatory reporting (FHFA, OCC), urban economics, environmental economics, econometrics


Certifications

  • Sustainability and Climate Risk (SCR), GARP – 2021-10
  • CEEM, Verisk – 2024-03
  • Climate Finance and Risk Management Certificate, University of Maryland – 2025-03

Education

  • Ph.D., Environmental and Urban Economics – UCLA
  • M.A., Economics – San Francisco State University
  • B.A., Economics & Mathematics – UC San Diego