Project Management & Information Technology
Mr. Vlad Babin has extensive experience in the world of finance and financial risk management; investment banking and corporate finance, including asset management, investments; and federal banking regulation and supervision. He has specialized experience in capital markets; market and credit risks management, including fixed income, equity, and derivatives trading and hedging.
Several years Mr. Babin worked in capital markets finance for international investment banks on Wall Street in New York City. As a member of the Finance & Accounting Control Groups within the Global Capital Markets, he controlled Global Rates and Global Commercial Real Estate businesses. Before that he spent five years in brokerage and asset management (fully licensed by FINRA, formerly NASD) in Chicago. In addition, Mr. Babin worked as a bank examiner for Federal Housing Finance Agency, where he supervised risk management practices in Fannie Mae and Freddie Mac, and Federal Home Loan Banks.
Mr. Vlad Babin has extensive teaching and coaching experience in graduate, undergraduate, and professional programs. In addition to teaching at New York University, he has taught advanced financial courses at Columbia University, Fordham University, Georgetown University, and others. Mr. Babin has taught Corporate Finance, Fixed Income Markets, Financial Statement Analysis, Derivatives Markets, Investment Analysis, and Quantitative Modeling. He holds an MBA in Finance and Accounting from Loyola University Chicago. Mr. Babin served in the United States Marine Corps (honorably discharged in 2002).