This candidate is a financial service professional with 15 years operations management experience.
They have a successful track record of managing and motivating people through organisational growth and decline. This person has a track record of promoting very strong customer focus and partners that with great communication skills as well as a proven history of achieving results by aligning the operational team with business strategy. They are an innovative problem solver, with experience in managing organisation wide change projects. Educated to Masters level in Investment and Treasury with extensive understanding of complex financial products. They have the capacity to build relationships with external agents - custodians, IPAs, nostro and service providers as well as the CBI and Financial Regulators. From meeting with this candidate I can see that they have the drive and the attitude to take back on senior role within derivatives or cash management or a position as an Operation Manager or Treasury Manager and be extremely successful at it.
MSc in Investment and Treasury (Hons)
Diploma in Legal Studies
Bachelor of Financial Services (Hons)
CeB – Certified Banker
Member of CFA Institute
Head of Derivative / Cash Management / Fixed Income Operations / Treasury or Treasury / Operations / Cash Operations / Derivatives Manager
Reviewed organisational processes
Established and implemented SLA’s
Developed new business and systems processes which internally segregated cash flows,
Maintained a segregated portfolio of derivatives under SLA.
Managed teams through a time of major organisational change including two Voluntary Redundancy
Programmes, while continuing to provide the level of support required by the business.
Succeeded in implementing the Banks Bond Exchange Programme which reduced overall debt levels of by over 2 billion.
Headed three teams comprised of 15 experienced operational individuals; Fixed Income and Repo, Derivative - Operations, FX Options and Structured Products.
Set up the operation’s function for the Bank’s Portfolio Management Group and Mortgage Bank. These entities were responsible for securitisation programmes of up to €10 Billion.
Developed new systems and products for Treasury Operations i.e. Repo, collateral and static data
Developed operational strategy for the Bank’s future needs.
Implemented a USCP Program ($2 Billion) and other initiatives which enhanced funding options.
Successfully set up the operational support for one of the first corporate OTC FX options desk in Dublin
Managed the delivery of FX option products to corporate clients.
Wrote operational procedures for new products.
This is a fantastic opportunity to get a very experienced and competent candidate on board who is immediately available and hungry for a new challenge in financial services. I look forward to discussing how this person can impact your business.