Daniel Tano has been working in the Financial Services industry since 2000. Daniel has been instrumental in leading several international projects with a focus on integrating market and reference data, implementing solutions for trading infrastructure and designing processes to streamline investment management cycles for multiple Investment Banks, Pension Plan firms, Banks and Asset Managers. With a broad focus ranging from Treasury, Collateral Management, Order & Trading flows and Market Data Management Daniel also has specialized in Derivatives and Derivative processing. Working from a business perspective, Daniel brings commercial, managerial and investment management experience with a strong focus on getting things done. Particular strengths include market know-how, vendor solutions and alternatives, project management, problem solving, analytical ability and communication skills. Specialties: Derivatives, Treasury, Selection & Implementation, Process Consultancy, Project Management, Cost optimization, Vendor Management, Data Management, Interfacing, Bloomberg (EMSX, TSOX, FX), SimCorp Dimension, Collateral Management, Corporate Actions, Market and Reference data.