Qinyu Jiang (Mindy)
Jersey City, NJ ***** 717-***-**** ****************@*****.*** https://www.linkedin.com/in/qinyujiang/ EDUCATION BACKGROUND
Columbia University in the City of New York 09/2021 – 12/2022
• Master of Science in Enterprise Risk Management (STEM) Cumulative GPA: 3.41 Major GPA: 3.41
• Curricula: ERM Modeling (with @RISK), Financial Risk Management (Market risk/Credit risk/Liquidity risk/Interconnected Risk), Operational Risk Management, Strategic Risk Management, IT Risk Management, Value-Based ERM, Quantitative Risk Management, Global Capital Market & Investment (including Derivatives) etc. Eli Broad College of Business, Michigan State University 09/2017 – 12/2020
• Bachelor of Arts in Finance Honor: Dean’s List: 5 Semesters Cumulative GPA: 3.71 Major GPA: 3.93
• Curricula: Financial Accounting, Marketing, Business Communication, Managing Human Resources, Financial Modeling, Advanced Business Finance (with Python), Quantitative Business Research methods, Investments, International Financial Management, Business Analytics & Info Systems (with Tableau) etc. PROFESSIONAL EXPERIENCE
Chillfit Rave Inc. Rutherford, NJ
Financial Analyst 12/2023 – 02/2025
• Led financial and operational risk assessments for large-scale events, identifying vulnerabilities and implementing mitigation strategies to protect profitability.
• Monitored payment and billing systems, promptly resolving customer payment issues to maintain service continuity and client satisfaction.
• Built and maintained financial models incorporating KPIs and cost structures, improving forecasting accuracy by 15%.
• Automated and streamlined reporting processes using Excel (VLOOKUP, PivotTables, Index-Match, Macros) and Tableau dashboards, delivering real-time insights into inventory and sales performance for marketing and inventory management teams.
• Created and presented monthly financial reports with dynamic visualizations (pie charts, trend analyses), identifying key cost drivers and uncovering budget optimization opportunities that drove a 20% reduction in wasteful spending.
• Executed key FP&A tasks including detailed variance analysis, rolling forecasts, and budget tracking, which led to improved resource allocation and a 20% cost reduction.
• Analyzed ERP system data to identify underperforming markets and proposed targeted marketing strategies, increasing regional sales by 15%.
• Utilized CRM system data to analyze customer profiles and provide actionable, data-driven insights supporting marketing strategy development.
• Conducted in-depth competitor and market trend research, delivering strategic recommendations that informed the operational planning cycle and enhanced competitive positioning.
Greater Institute of Financial Professionals New York, NY Risk Analyst 02/2022 – 09/2023
• Conducted in-depth market research and competitive analysis using Excel, generating strategic reports that informed executive decisions on partnerships and future program development.
• Collaborated with legal and compliance teams to design and implement RCSA frameworks, identifying critical operational risks and developing targeted corrective action plans aligned with global compliance standards.
• Supported FP&A by reconciling financial records, forecasting yearly performance, and implementing stringent financial controls, reducing discretionary expenditures by 15%.
• Partnered with academic teams to update certification guides and question banks with current insights on credit, market, operational, and ESG risks, enhancing the relevance and rigor of professional credentialing programs.
HFT Fortune Asset Management Co., Ltd. Shanghai, China Risk Management and Compliance Officer 02/2021 – 07/2021
• Supported senior leadership in developing operational risk metrics and performance indicators to monitor firm-wide risk exposure.
• Delivered monthly risk reports and analytics to the board, providing actionable intelligence on control effectiveness and risk trend trajectories, supporting strategic adjustments in the firm’s risk appetite.
• Monitored over 150 investment products for regulatory compliance and performance, aligning operational practices with Chinese commercial laws and boosting compliance efficiency.
• Conducted credit and investment risk assessments, identifying high-risk positions and restructuring portfolio allocation strategies, improving risk-adjusted returns by 20%.
• Assisted in executing investment product RCSA, proactively identifying operational risks and implementing corrective measures to enhance regulatory compliance. Skills
• Professional Skills: Excel (Pivot Tables, VLOOKUP, INDEX-MATCH, Macros), Tableau, Access, Word, PowerPoint, Google Suite, Risk Modeling, Financial Modeling, Scenario Analysis, FP&A, Market Research, Data Visualization, Risk and Control Self-Assessment (RCSA), Stress Testing, Python (data cleaning, extraction, typesetting); Bloomberg
• Language Skills: Mandarin (Native); English (Proficient)