Managing Director
CurrentPresently I am responsible for running the funding desk and funds transfer pricing processes in the Corporate Investment Bank, in addition to being the Treasurer for JPMorgan Securities LLC (US broker-dealer) and the Markets businesses. My role requires significant focus on balance sheet, capital, and liquidity management in both foreign and domestic markets. My responsibilities include strategic decision-making and thought leadership on transactional, line of business, and legal entity levels. Additionally, I oversee the funding valuation adjustment process (FVA). I am responsible for the consolidated risk management and funding spread P&L associated with the derivative and structured note portfolios across the CIB. In May of 2011, I moved into a role that was charged with creating a collateral management (financing) desk across the Equities and Prime Brokerage divisions. At the time, I had a dual report to the Head of Prime Brokerage and the Treasurer of the Investment Bank. Upon the completion of the establishment of the collateral management desk and the merger of the Corporate and Investment Banks in 2012, I was given the role of Treasurer for the Markets lines of businesses which I retain to this day.From May 2008 thru May 2011, I was primarily based in London and was CFO for JPM's Global Equity Derivatives Group. In this chief of staff type role, I managed all administrative, operational and financial aspects of the line of business.