
Resume
Experience
2013 - 2018
Co-founder | Director
Lesson Company Limited
Fortress Hill, Hong Kong
-
Founded the education centre to advocate Science and Mathematics education
-
Emphasised development of systematic mindset for students
-
Expanded the services to local secondary schools
2012 - 2018
Relationship Manager
Luk Fook Wealth Management Limited
Sheng Wan, Hong Kong
-
Provided financial and investment advices for both personal and corporate customers
-
Used a wide range of financial tools to diversify risk and fulfil clients' financial needs
-
Managed and kept track on the asset portfolios
-
Provided investment strategies and Pension Fund seminars to the corporate clients.
2011 - 2012
Financial Consultant
Convoy Wealth Management Limited
Tai Koo Shing, Hong Kong
-
Provided financial planning strategies services
-
Specialised in personal financial products, including mutual funds, stocks, bonds, insurance products, and pension funds
-
Delivered high standard tailor-made services to each unique clients
Education
2019 - 2021
City University of London
MSc Artificial Intelligence (Distinction)
London, United Kingdom
The programme covered the fundamental theory and practical projects of artificial intelligence. It was separated into two main parts. The first part mainly covered the theory of ordinary AI. The modern AI systems imitate human cognitive systems. The computation cognitive systems introduced the research result and theories from the rapid development of AI technologies. Also, the multi-agent system is the foundation for algorithmic design for an AI system.
The second part covered mainly practical applications and projects. Deep Learning was introduced in 3 different areas, Computer Vision, Natural Language Processing and Reinforcement Learning. Furthermore, the Explainable AI (XAI) ensured sound and safe AI technology for human beings.
2008 - 2011
The University of Hong Kong
BSc Risk Management and Finance (Double Major)
Hong Kong, China
The Risk Management programme covered the essential knowledge to become a professional financial risk manager. Statistical theories and modelling, SAS programming, credit risk, market risk, operational risk, and financial regulations were introduced.
The Finance programme covered the introductory and advanced theories for finance and accounting. Basic economic principles, econometrics, accounting principles, financial institutions, and investment valuation were introduced.
Professional Qualification
2013 - Present
Financial Risk Manager (FRM)
Global Association of Risk Professionals (GARP)
Hong Kong, China
Recognized in major financial markets, the FRM is the leading certification for risk Managers. The certified FRMs demonstrate the knowledge and ability to anticipate, respond, and adapt to critical risk issues. The certified FRMs need to pass two levels of examinations and two years of relevant working experiences. The first assessment includes foundations of risk management, quantitative analysis, financial markets, and valuation and risk models. The second covers credit risk, market risk, operational risk and resiliency, treasury and liquidity risk management, investment management, and current issues in financial markets.
Hobby
Travelling
Badminton
Photography
Outdoor activities