Financial executive with experience in:
• Dodd-Frank Regulations as they relate to Risk Management, primarily Title VII. Derivatives strategies to manage and transfer rate or pricing risk using futures, options or swaps.
• Capital markets product development, financial institution regulatory and compliance requirements and best practices relating to commercial and investment banks; GSE’s; derivatives exchanges, central clearinghouses, and swap execution facilities; and REITs
• Financial institution board level corporate governance and risk management, treasury, trading and capital markets functions and activities
• Management consulting and advisory services to corporate boards,