Peter Meyer

Peter Meyer Email and Phone Number

Peter Meyer's Location
Charlotte, North Carolina, United States, United States
Peter Meyer's Contact Details

Peter Meyer work email

Peter Meyer personal email

About Peter Meyer

Executive Summary: Proactive business oriented Treasurer, with diverse skills, knowledge and experience in finance, analytics, strategic planning, systems development, capital markets, funding, investment management, interest rate & liquidity risk management.My career in global financial services has allowed me to develop analytical, critical thinking & problem solving skills that are essential to companies navigating the volatile economic climate.The skills that I have acquired & my ability to “think” like a CEO-CFO will prove invaluable in helping guide future business decisions.Intelligent, self motivated & diverse finance, treasury, capital market and risk management skills, which I believe will prove extremely valuable in:• Financial Planning & Analysis • Funding & Liquidity management• Interest rate & foreign currency risk management • Capital planning• Fixed Income investment management• Macroeconomic analysis – technology & demographics• System development• Accounting & Regulatory reporting• FTP – Transfer Pricing• Audit• Operations management• Mentoring & personnel development

Peter Meyer's Current Company Details
Tower Federal Credit Union

Tower Federal Credit Union

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VP Finance
Peter Meyer Work Experience Details
  • Tower Federal Credit Union
    Vp Of Finance
    Tower Federal Credit Union Jun 2023 - Present
    Laurel, Maryland, Us
    Financial Planning & Analysis, Investment Portfolio Management, Interest Rate Risk Management and Liquidity Risk Management
  • Wells Fargo
    Liquidity Risk
    Wells Fargo Jan 2020 - Apr 2024
    San Francisco, California, Us
  • Israel Discount Bank Of Ny
    Svp Treasury
    Israel Discount Bank Of Ny Jul 2013 - Jan 2020
    • Treasury Investment Group leader responsible for managing a team responsible for Finance, Asset & Liability management, Investment Portfolio management, Funding, Budget & Transfer Pricing.• Macroeconomic analysis and interest rate forecasting to formulate strategic balance sheet & interest rate risk positioning strategies.• Budgeting, FTP - transfer pricing, financial planning, variance analysis & 5 year strategic funding plan• Partner in internal audits, FDIC & State Bank regulatory reviews which strengthened procedures & controls
  • Makena Investment Management
    Portfolio Manager
    Makena Investment Management Mar 2009 - Jul 2013
    Invests across global markets with a focus on capturing directional market movements that commonly have a strong fundamental reasoning based upon economic and political analysis.
  • Citi
    Citigroup Treasury - Mortgage Treasury - Portfolio Manager
    Citi 2006 - 2009
    New York, New York, Us
    • Member of a team responsible for interest rate risk management & funding for the $225B Consumer Mortgage balance sheet and $100B Fixed Income Portfolio.• Utilized Bloomberg & Yield Book analytics to determine relative valuation of portfolio MBS investments & MBS Portfolio risk metrics.• Participated in the hedging of the Mortgage Servicing asset entailing determining the Servicing Asset & hedge duration, basis, convexity and volatility profile and hedging the risks utilizing MBS, swaps, swaptions, futures and MBS derivatives.
  • Citi
    Citigroup Treasury - International Consumer Bank Treasury – Assistant Treasurer
    Citi 2004 - 2006
    New York, New York, Us
    • Senior member of a Treasury unit established to oversee the Asia, Europe, Mexican & Latin American Regional Consumer Treasury groups.• Established a best practice model for each regional Treasury.
  • Citi
    Citigroup Treasury - Latin American Consumer Bank - Treasurer
    Citi 2000 - 2004
    New York, New York, Us
    • Treasurer for a $6 billion dollar Latin American Private Bank division.• Responsible for balance sheet management, interest rate risk management & fixed income investment portfolio comprised of MBS.
  • Citi
    Citibank - Chief Financial Office - Funding & Interest Rate Risk Manager
    Citi 1996 - 2000
    New York, New York, Us
    • Citibank CFO Treasury was responsible for managing a $75B balance sheet position comprised of $14B Debt, $25B Capital versus investments, derivative positions & subsidiary funding.• Managed interest rate risk by extending the balance sheet asset profile utilizing interest rate swaps, Treasury Notes, futures & options to match the long term liability profile.
  • Citi
    Citibank - Chief Financial Office - Short Term Funding & Liquidity Manager
    Citi 1992 - 1995
    New York, New York, Us
    • Managed the Citicorp liquidity portfolio comprised of a $4B portfolio of US Treasury Bills, repurchase agreements and bank deposits.• Managed short term interest rate risk management utilizing basis swaps to modify portfolio duration.• Managed subsidiary funding ensuring compliance with tax, regulatory and risk management guidelines.

Peter Meyer Skills

Capital Markets Bloomberg Liquidity Management Interest Rate Risk Management Risk Management Treasury Management Interest Rate Swaps Funding Investments Fixed Income Portfolio Management Financial Analysis Us Treasuries Agency Mbs Futures Trading Options Strategies Equities Economic Research Yield Book Mortgage Technical Analysis Corporate Finance Transfer Pricing Budgeting Fixed Income Swaps Hedging Portfolio Management Interest Rate Derivatives

Peter Meyer Education Details

  • Bucknell University
    Bucknell University
    Business Administration - Finance

Frequently Asked Questions about Peter Meyer

What company does Peter Meyer work for?

Peter Meyer works for Tower Federal Credit Union

What is Peter Meyer's role at the current company?

Peter Meyer's current role is VP Finance.

What is Peter Meyer's email address?

Peter Meyer's email address is pe****@****ail.com

What schools did Peter Meyer attend?

Peter Meyer attended Bucknell University.

What skills is Peter Meyer known for?

Peter Meyer has skills like Capital Markets, Bloomberg, Liquidity Management, Interest Rate Risk Management, Risk Management, Treasury Management, Interest Rate Swaps, Funding, Investments, Fixed Income Portfolio Management, Financial Analysis, Us Treasuries.

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