This highly qualified banking supervisory expert is a former officer at the Federal Reserve Board, where he was responsible for regulatory policies and supervisory standards surrounding credit, market, liquidity and operational risk management at regulated institutions. The expert first joined the Federal Reserve in 1991 as a Supervisory Financial Analyst and became a Deputy Associate Director for the Board of Governors in 2004. He oversaw market and liquidity risk, as well as capital markets, and also handled operational risk policy in his last year with the Federal Reserve. Over the course of a 20-year career with the regulatory body, he established and managed regulatory and supervisory programs on the capital requirements and risk management of banking organizations' capital markets, trading and derivatives activities; treasury functions; interest rate, market risk, and liquidity exposures; and investment portfolio and asset/liability management practices. After leaving the Federal Reserve, the expert joined Ernst & Young LLP as an Executive Director of the Financial Services Risk Management Advisory Practice. He earned his Bachelor of Arts & Sciences in Economics & International Relations from American University, his Masters of Arts & Sciences in Economics from Boston College, his Masters of Business Administration from George Washington University, and his Chartered Financial Analyst credential from CFA Institute.
Location: MD B.A.S., Economics & International Relations, American University M.A.S., Economics, Boston College M.B.A., George Washington University Chartered Financial Analyst, CFA Institute Member, American Finance Association Member, Global Association of Risk Professionals Member, Professional Risk Managers International Association Member, International Association of Quantitative Finance Recipient, Chairman's Special Achievement Award, Board of Governors of the Federal Reserve Author, 15+ Publications Presenter, 10+ Meetings & Conferences Former, Research Analyst, Brookings Institution/National Bureau of Economic Research Former, Economist, Bureau of Economic Analysis in the U.S. Department of Commerce Former, Senior Financial Analyst, Office of the Comptroller of the Currency Former, Manager of Inventory Risk Analysis, Federal Home Loan Mortgage Corporation Former, Assistant Vice President of Investment, Union Labor Life Insurance Inc. Former, Supervisory Financial Analyst & Manager of the Financial Analysis Section, Board of Governors of the Federal Reserve System Former, Manager of the Capital Markets Section, Board of Governors of the Federal Reserve System Former, Assistant Director of Market & Liquidity Risk, Board of Governors of the Federal Reserve System Former, Deputy Associate Director of Market & Liquidity Risk and Capital Markets, Board of Governors of the Federal Reserve System Former, Deputy Associate Director of Credit, Market, Liquidity & Operational Risk Policy, Board of Governors of the Federal Reserve System Former, Executive Director of the Financial Services Risk Management Advisory Practice, Ernst & Young LLP Current, Financial Markets & Institutions Consultant, Independent