David Spivack Email and Phone Number
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Senior Financial Executive with broad based experience in identification, measurement and management of interest rate, equities, foreign exchange and liquidity risk in the United States and Asian markets. Certified Financial Risk Manager by Global Association of Risk Professionals and Professional Risk Managers International Association, Investment Management Certificate from the UK Society of Investment Professionals and completed Bloomberg Product Certification program.Specialties: Market Risk ManagementAsset Liability ManagementValue at RiskRisk Adjusted Return on CapitalSensitivity AnalysisCash ManagementProject ManagementBloomberg ImagineExcel
California Department Of Financial Protection And Innovation
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Credit Union ExaminerCalifornia Department Of Financial Protection And InnovationLos Angeles, Ca, Us -
Credit Union ExaminerCalifornia Department Of Financial Protection And Innovation Aug 2024 - PresentSacramento, California, Us -
Director Of AccountingFoothill Federal Credit Union Aug 2022 - Aug 2024Arcadia, California, Us -
Vp, Accounting & FinanceF&A Federal Credit Union Jan 2018 - Jul 2022
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Chief Financial OfficerUniversity Credit Union Mar 2016 - Nov 2017
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ConsultantMufg In The Americas Jun 2015 - Sep 2015Chiyoda-Ku, Tokyo, Jp -
Evp, Chief Financial OfficerFar East National Bank Nov 2010 - Jun 2014Los Angeles, California, Us -
ConsultantSinopac Financial Holdings Jul 2010 - Nov 2010
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Vp, TreasuryChina Construction Bank Oct 2009 - Jun 2010Cn -
Svp, Risk Management DepartmentChina Development Financial Holding Corporation Oct 2005 - Oct 2007Developed risk analysis and reporting tools in Imagine as senior Risk Management Department member working on project with London-based hedge fund with ultimate goal of China Development Industrial Bank launching its own hedge fund.Performed analysis of China Development Industrial Bank’s Market Risk Management group and recommended changes in valuations process and shift from internally developed Value at Risk model to RiskMetrics in order to consolidate firm-wide risk reporting and ensure compliance with Basel II.Wrote compliance manual submitted to the Hong Kong Securities and Futures Commission as part of Grand Cathay Securities (Hong Kong) Limited’s successful license application.
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Vp, Equity Derivatives Pricing ManagerDeutsche Bank Securities May 2004 - Sep 2005Provided pricing for full range of listed and over-the-counter equity and fixed income securities for Global Prime Services prime brokerage, structured equity finance and securities lending lines of business.Managed projects to automate end-of-day pricing process.Supervised four-person team of pricing analysts.
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Vp, Equity Derivatives Pricing ManagerDeutsche Bank 2004 - 2005Frankfurt Am Main, Hessen, De -
Consultant, Cash ManagementTelerate May 2003 - Apr 2004UsPrepared weekly cash forecast for Americas region and consolidate Europe and Asia reports for Global Consolidated Cash Forecast.Managed global cash position on a daily basis including: production of Daily Cash Position Report; initiate wire transfers to vendors; determine end of day balances; and invest excess funds.Identified and measured foreign currency exposures and implemented strategies saving $300,000 annually. -
Vp, Equities Middle Office ManagerCredit Lyonnais Aug 1998 - Jun 2002Villejuif, Île-De-France, FrMonitored daily P&L and Risk Reports to ensure accuracy and compliance with internal limits.Implemented controls that enabled establishment of Risk Arbitrage, Index Arbitrage and Convertible Bonds Arbitrage trading and Securities Lending equity swap activity in New York.Validated and back-tested results of historical-simulation Value at Risk model.Designed spreadsheets to calculate Theoretical Loss for Risk Arbitrage activity.Instituted local oversight of equities derivatives product line.Revamped Profit & Loss reporting process, eliminating month-end reconciliation with Capital Markets Accounting and associated $450K annual expense allocation.Supervised staff of three analysts. -
Vp, Risk ManagerTokai Securities Inc. Apr 1997 - May 1998Monitored daily Value at Risk and Profit & Loss reports for accuracy and to ensure compliance with regulatory capital requirements and internal limits for 6-member trading team dealing in U.S. Treasuries arbitrage; listed Eurodollar futures and options; and repos.Implemented and maintained historical-simulation method Value at Risk model.Established Value at Risk limits consistent with BIS capital requirements.Analyzed traders’ performance on a Return on Risk Capital basis.Performed back-testing to verify the quality of the Value at Risk model.
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Vice PresidentThe Chase Manhattan Bank Apr 1986 - Apr 1996New York, Ny, UsTeam Member, FOCUS, New York, NY (1995-96)Identified 50% expense savings across four systems development groups: European Systems Development, Asia Systems Development, Private Banking Systems and Trading Systems. Trader, Asia Regional Proprietary Trading Desk, Tokyo, Japan (1994-95)Traded listed futures and options on US Dollar interest rates and spot foreign exchange.Provided analysis of economic data for foreign exchange dealers and sales force. Asia Treasury Executive, Asia Pacific Area Office, Hong Kong (1992-94)Managed the Treasury function in Asia.Managed interest rate and liquidity exposures to maximize profitability while ensuring compliance within internal guidelines and external regulations, earning $55 million in l993.Domestic Risk Manager, Corporate Treasury, New York, NY (1986-92)Served as second in command in group that hedged the interest rate risk generated by the Bank’s domestic lines of business, earning $125 million in 1992. -
Assistant TreasurerBank Of New York Mellon 1984 - 1986New York, Ny, Us -
Accounting SupervisorFederal Home Loan Bank Of New York 1982 - 1984New York, Ny, Us
David Spivack Education Details
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Nyu Stern School Of BusinessFinance -
New York UniversityAccounting & Economics -
Case Western Reserve University -
Ps 196
Frequently Asked Questions about David Spivack
What company does David Spivack work for?
David Spivack works for California Department Of Financial Protection And Innovation
What is David Spivack's role at the current company?
David Spivack's current role is Credit Union Examiner.
What is David Spivack's email address?
David Spivack's email address is ds****@****fcu.org
What is David Spivack's direct phone number?
David Spivack's direct phone number is (801) 481*****
What schools did David Spivack attend?
David Spivack attended Nyu Stern School Of Business, New York University, Case Western Reserve University, Ps 196.
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