• CIFC

  • Vichai Soysouvanh
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Vichai Soysouvanh

Executive Director - Controller at CIFC

Vichai Soysouvanh has extensive work experience in finance and accounting roles. Vichai is currently serving as the Executive Director - Controller at CIFC Asset Management since October 2022. Previously, they worked as a Controller at Baobob Advisors LLC (Fortress Investment Group) from March 2021 to February 2022. Prior to that, they were an Assistant Controller at ExodusPoint Capital Management, LP from October 2018 to February 2021. Vichai also served as an Accounting Manager at Third Point LLC from January 2016 to October 2018, and as a Senior Accountant from October 2012 to December 2015. Vichai worked as a Finance Manager at C1 Consulting from March 2016 to October 2016. Vichai started their career as an Accountant at MSD Capital, L.P from October 2010 to October 2012. Vichai also has experience working as a Staff Auditor / Accountant at the American Federation of Musicians & Employers' Pension Fund from October 2007 to September 2010.

Vichai Soysouvanh attended Baruch College from 2002 to 2006, where they obtained a Bachelor of Arts degree in Accounting. Prior to their college education, Vichai completed their high school education at Ridge High School. However, the specific years of their high school education were not provided.

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Basking Ridge, United States

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CIFC

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CIFC Corp., a New York-based specialized asset manager, combines what it believes are the best underwriting, portfolio management and value maximization practices to generate attractive and consistent returns for investors. CIFC is a proactive, fundamentals-based manager of senior secured corporate loans with a highly differentiated investmentmanagement model, management framework, processes and proprietary technology. CIFC combines the best investment practices of top-tier banks and asset managers. A focus on loan repayment by borrowers, in contrast to dependency on asset sales as a primary risk management tool, is integrated with disciplined portfolio diversification, an adherence to strict risk/return criteria and an overlay of market value arbitrage to enhance the risk profile of funds managed.


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