Andrei Egorov
Leading Financial Risk Management at Charles Schwab with a focus on Market, Liquidity, and Capital risks
Charles Schwab•San Francisco, California
View LinkedIn ProfileExecutive Overview
As a Managing Director of Financial Risk Management at Charles Schwab, I lead a high-performing team responsible for identifying, assessing, and reporting market, liquidity, and capital risks. With over 20 years of experience in the financial industry, I have developed a strong expertise in risk analytics, stress testing, and regulatory compliance. I hold an MS in Finance from Suffolk University and an MS and BS in Economics from Peoples' Friendship University of Russia. My mission is to ensure the stability and security of Charles Schwab's operations by leveraging my skills in risk management tools, regulatory requirements, and broker-dealer compliance.
Career Timeline
- Charles SchwabCurrentOct 2008–Present· 17 yrs 11 mos
- Managing Director, Financial Risk ManagementCurrentApr 2019–Present
- Director / Managing Director, Risk Analytics/Stress TestingMar 2010–Apr 2019
- Senior Manager, Treasury/ALMOct 2008–Mar 2010
- Feb 2006–Oct 2008· 2 yrs 8 mos
- Treasurer, AVPFeb 2006–Oct 2008
- Oct 1999–Feb 2006· 6 yrs 4 mos
- Treasury Officer, ALMOct 1999–Feb 2006
Education
Master of Science (MS)
Finance
Suffolk University - Sawyer Business SchoolMaster of Science (MS)
Economics
Peoples’ Friendship University of RussiaBachelor of Science - BS
Economics
Peoples’ Friendship University of Russia