London, United Kingdom
Change Manager at Royal Bank of Scotland
Banking
Education
FCA Regulatory Exams 1997 — 1997
SERIES 7, SERIES 3, FCA REGULATORY QUALIFICATIONS, FCA Approved Person (US/Europe); Financial Products; KYC; Anti-Money Laundering
London Business School 1995 — 1997
Master of Business Administration (MBA), Banking, Corporate, Finance, and Securities Law, MBA
University of Pennsylvania - The Wharton School 1996 — 1996
Master of Business Administration (MBA), Banking, Corporate, Finance, and Securities Law
UMIST 1981 — 1984
Bachelor's Degree, Computer Science, BSc.
Experience
ROYAL BANK OF SCOTLAND June 2015 - Present
CROSSBRIDGE May 2014 - June 2015
LLOYDS BANKING GROUP June 2012 - May 2014
LLOYDS BANKING GROUP June 2011 - June 2012
LLOYDS BANKING GROUP November 2009 - May 2011
TPS AG April 2008 - November 2009
CIBC May 2007 - January 2008
WESTLB May 2005 - May 2007
RABOBANK, EIGER CAPITAL LTD March 2002 - May 2005
BNP PARIBAS February 2001 - February 2002
Skills
Mortgage Securitisation, Liquidity Management, Program Management, Funds Transfer Pricing, QRM, Finance, Bank Subsidiary..., Capital Markets, Bonds, Hedge Funds, Project Management, Collateral Management, PPMS, Financial Regulation, Funding, Credit Derivatives, Treasury, Basel III, Bank Funding, Structured Finance, Dodd-Frank, Banking, Trading, Senior Stakeholder..., Investment Banking, Counterparty Risk, BCBS, Mark to Market, Swaps, Agile Project Management, Credit Risk, PRINCE2, Change Management, Risk Management, Fixed Income, ALM, FX Hedging, Front to Back Office, Operations Management, Business Analysis, Asset Managment, Portfolio Management, Project Planning, Credit, Front Office, Management Consulting, Liquidity Risk, Scrum, Derivatives, Structured Products