Teresa Tian is Director, Global Market Risk Management for Bank of America. She joined the bank in July 2014, with the task to build out REN TD framework and MMI automation process for bank’s market making desks. She also led risk management metrics automation for Volcker reporting. She is currently responsible for covering US regulatory risk, incl Fed, OCC, SEC and CFTC and building out peer relationships under various regulatory regimes. In addition, she is actively managing the Swap Dealer Risk Management Program (SDRMP). Previously, she has taken on a variety of risk roles (most recently in CCAR testing at UBS and AIG) where she extended her risk and portfolio management modeling experience to stress testing methodology and processes/controls around testing workflows. Teresa holds CFA, FR M and CAIA designations. She also has an MBA from University of South Carolina (NY) and a BSc in Portfolio Management.