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# Chris Luzine

**Headline:** Risk Management \- BNY \| Investments & Markets \| BNY AI Pioneer \| Planning & Transformation \| Product Governance \| People Development \| ex\-Goldman Sachs, ex\-JPM Chase
**Profession:** Traded Market & Investment Risk
**Location:** New York, New York, United States

## About

Chris Luzine is a finance and risk management professional at BNY, where his current work includes Traded Market & Investment Risk and Market Risk\. He focuses on complex problem\-solving through first\-principles thinking, governance redesign, strategic planning, transformation, and AI\-enabled process improvement\. Chris is strongest at turning complex regulatory and operating requirements into practical frameworks that preserve risk coverage while improving efficiency\. At BNY, he restructured business risk committees across the firm, reduced committee policy citations by 40%, and redesigned meeting materials to enable faster meetings without reducing risk coverage\. His background spans investment management, capital markets, market risk, product governance, regulatory compliance, portfolio management, and COO\-level operating work\. Chris has held roles at JPMorgan, VIKASA Capital Inc\., and Goldman Sachs, including Vice President in Fundamental Equity Portfolio Management and team leadership in U\.S\. equity institutional and mutual fund portfolio administration\. He is recognized for aligning complicated stakeholder groups, addressing resistance directly, building trust during change, and delivering sustainable operational results\. Chris also identifies AI agents and emerging technology as tools for automation, efficiency, and innovation in financial markets\.

## Services

- Artificial Intelligence \(AI\)
- Portfolio Management
- Asset Managment
- Derivatives
- Equities
- Hedge Funds
- Investments
- Asset Allocation
- Cash Management
- Project Management
- Mutual Funds
- Compliance
- Series 7
- Bloomberg
- Reuters
- Charles River IMS
- Longview
- MacGregor
- Asset Management
- Fixed Income

## Highlights

- At BNY, restructured business risk committees across the entire firm\.
- Reduced committee policy citations by 40% at BNY\.
- Redesigned BNY committee materials to support faster meetings while maintaining risk coverage\.
- Built governance approaches that eliminate duplication while preserving necessary controls\.
- Applies judgment to distinguish real control requirements from unnecessary caution\.
- Builds trust and manages resistance during change by addressing concerns and demonstrating continued coverage\.
- Aligns complicated stakeholder groups to move toward shared outcomes\.
- Brings experience in market risk, transformation, operating work, strategic planning, and work with COO\-level executives\.
- Served as Chief Operating Officer at VIKASA Capital Inc\.
- Worked in New Business Initiatives for JPMorgan's Corporate & Investment Bank\.
- Served as Vice President in Fundamental Equity Portfolio Management at Goldman Sachs\.
- Served as Associate and Team Leader in U\.S\. Equity Institutional and Mutual Fund Portfolio Administration at Goldman Sachs\.
- Served as an Analyst in U\.S\. Equity Institutional and Mutual Fund Portfolio Administration at Goldman Sachs\.
- Holds a Bachelor of Science in Finance from Syracuse University\.
- Uses AI agents and emerging technology to pursue process automation and efficiency gains\.

## Experience

- **Traded Market & Investment Risk at The Bank of New York** (2021\-01\-01–present)
- **Market Risk at The Bank of New York** (2021\-01\-01–present)
- **Chief Operating Officer at VIKASA Capital Inc\.** (2018\-01\-01–2020\-01\-01)
- **New Business Initiatives, Corporate & Investment Bank at JP Morgan** (2013\-01\-01–2018\-01\-01)
- **Vice President \- Fundamental Equity Portfolio Management at Goldman Sachs** (2003\-01\-01–2012\-01\-01)
- **Associate \- Team Leader, US Equity Institutional and Mutual Fund Portfolio Administration at Goldman Sachs** (2001\-01\-01–2003\-01\-01)
- **Analyst \- US Equity Institutional and Mutual Fund Portfolio Administration at Goldman Sachs** (1999\-01\-01–2001\-01\-01)

## Education

- Bachelor of Science, Finance — Syracuse University
- high school

## FAQ

### What does Chris do at BNY?

Chris works at BNY in Traded Market & Investment Risk and Market Risk\. His work centers on risk management, governance, transformation, strategic planning, and operational improvement in financial markets\.

### What are Chris's core professional strengths?

Chris is experienced in investment management and capital markets risk management and regulatory compliance product governance and change management strategic planning and execution financial forecasting and budget optimization and AI\-powered process automation\. He also leads cross\-functional teams and works closely with stakeholders\.

### What did Chris accomplish through governance work at BNY?

At BNY, Chris restructured business risk committees across the entire firm\. He reduced committee policy citations by 40% and redesigned meeting materials, resulting in faster meetings while maintaining risk coverage\.

### How does Chris approach risk and product governance?

Chris approaches governance redesign by distinguishing genuine control requirements from unnecessary caution\. He works to remove duplication while preserving controls and risk coverage\.

### How does Chris lead change and stakeholder alignment?

Chris manages change resistance by addressing concerns directly, demonstrating that required coverage remains in place, and building trust with stakeholders\. He is skilled at helping complicated groups move in the same direction\.

### What is Chris's COO and strategic\-planning experience?

Chris has experience working with COO\-level executives and in strategic planning\. He previously served as Chief Operating Officer at VIKASA Capital Inc\.

### What was Chris's role at JPMorgan?

Chris worked in New Business Initiatives within JPMorgan's Corporate & Investment Bank\.

### What roles did Chris hold at Goldman Sachs?

At Goldman Sachs, Chris was a Vice President in Fundamental Equity Portfolio Management\. He also served as an Associate and Team Leader and as an Analyst in U\.S\. Equity Institutional and Mutual Fund Portfolio Administration\.

### What is Chris's educational background?

Chris earned a Bachelor of Science in Finance from Syracuse University\. His education record also lists high school education without a school name or credential\.

### How does Chris use artificial intelligence in his work?

Chris lists artificial intelligence, including AI agents, as an area of interest for process automation and efficiency gains\. His headline identifies him as a BNY AI Pioneer\.

### What investment\-management skills does Chris list?

Chris's listed investment and markets skills include portfolio management, asset management, derivatives, equities, hedge funds, investments, asset allocation, cash management, mutual funds, and fixed income\.

### What compliance, project, and market\-system skills does Chris list?

Chris lists compliance, project management, Series 7, Bloomberg, Reuters, Charles River IMS, Longview, and MacGregor among his skills\.

### What kind of operational leadership does Chris provide?

Chris is recognized for driving efficiency and process improvement, restructuring governance, aligning complex stakeholder groups, and delivering results in fast\-moving financial markets\.

## Links

- LinkedIn: https://www\.linkedin\.com/in/luzine

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