Pete Oris Email & Phone Number
Who is Pete Oris? Overview
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Pete Oris is listed as Director of Liquidity Management - Treasury - Markets (ALM) at Standard Chartered Bank at Standard Chartered Bank, based in Mount Kisco, New York, United States. AeroLeads shows a matched LinkedIn profile for Pete Oris.
Pete Oris previously worked as Director Treasury Markets at Standard Chartered Bank and Associate Director of Liquidity and Investment Management - Treasury Markets (ALM) at Standard Chartered Bank. Pete Oris holds Bachelors, Finance from Muhlenberg College.
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About Pete Oris
Experienced Banking and Treasury professional specializing in liquidity and investment management. Proficient in asset and liability generation, market making, cashflow forecast modeling and interest rate risk management of the balance sheet. Highly efficient work with Microsoft Excel, Word and PowerPoint including VBA macro script writing.Current experience in production results driven positions, past experiences in analytics and data management functions. Specialties: Capital Markets, Wholesale Liability Generation, Liquidity Management, Bank Securities Portfolios, Interest rate risk, Balance Sheet Analytics, Unsecured Debt Issuance such as Certificates of Deposits and Commercial Paper, Primary and Secondary Market making, Derivatives, Hedging strategies, Cashflow Forecasts, Client Relationship Management, Financial Planning, Financial Statement Analysis, Microsoft Office, VBA, Research, Sales,
Listed skills include Bloomberg, Finance, Investments, Emerging Markets, and 56 others.
Pete Oris's current company
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Pete Oris work experience
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Associate Director Of Liquidity And Investment Management - Treasury Markets (Alm)
Actively managed liquidity risks and funding obligations for the $50 billion US branch balance sheet via creation of assets and liabilities. Directly accessed Money Markets and Debt Capital Markets to secure and deploy cash reserves. Managed and distributed external market pricing of wholesale liability products and transfer pricing to internal stakeholders. Constructed financial models and managed behavioral cashflow forecasts of regulatory mandated metrics such as LCR, SH and NSFR. Issued, negotiated and optimally priced the short term debt issuance program to institutional investors. Collectively strategized interest rate risk positioning thru active management of a marketable securities portfolio. Utilized short term funding vehicles such as interbank borrowing, FX swaps and Repo to capitalize on advantageous market dislocations and profitable arbitrage opportunities.
Analytics Associate - Treasury Markets (Alm)
Liquidity dealer and analytics specialist. Assisted in the liquidity, credit and interest rate risk management of the NY branch balance sheet. Developed globally adopted cashflow forecast models to ensure adherence to regulatory requirements such as LCR, Survival Horizon and FBO 165. Ensured appropriate distribution of wholesale funding sources to minimize single name concentration risks.
Avp Fixed Income Middle Office
Facilitated cross currency operational trade flows for emerging market sovereign debt products, ALM products and US Treasuries. Developed automated P&L capture procedures using Excel VBA code and Bloomberg connectivity to report daily FX sales commissions. Designed an automated ALM cross-system portfolio reconciliation mechanism. Assisted with Middle Office initiative for firm wide UST support out of NY branch. Executed customer and house bids for US Treasury auctions.
Credit Markets Analyst
Provided credit trading support thru deal entry, trade confirmations and security settlementTrained peers on nuances of FINRA Trace reportingOrchestrated the submission of corporate actions and corporate buy-ins.Assumed responsibility for syndicate trade reconciliation, security identifier creation and DTC settlement of primary market transactions.
Financial Services Representative
Received Series 6, 63 and state life insurance sales certificationsProvided personal wealth management and retirement analysis to clientsEstablished working product knowledge of multiple investment vehicles such as mutual funds and annuities
Intern
Performed tax code and regulations research to address client inquiries. Analyzed financial statements for clients and the firm.Organized and cataloged client data and electronic tax information.
Pete Oris education
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Muhlenberg College
Frequently asked questions about Pete Oris
Quick answers generated from the profile data available on this page.
What company does Pete Oris work for?
Pete Oris works for Standard Chartered Bank.
What is Pete Oris's role at Standard Chartered Bank?
Pete Oris is listed as Director of Liquidity Management - Treasury - Markets (ALM) at Standard Chartered Bank at Standard Chartered Bank.
Where is Pete Oris based?
Pete Oris is based in Mount Kisco, New York, United States while working with Standard Chartered Bank.
What companies has Pete Oris worked for?
Pete Oris has worked for Standard Chartered Bank, Rbs, First Investors Corporation, and Kirkiles And Kotiadis Llp Summer 2006.
How can I contact Pete Oris?
You can use AeroLeads to view verified contact signals for Pete Oris at Standard Chartered Bank, including work email, phone, and LinkedIn data when available.
What schools did Pete Oris attend?
Pete Oris holds Bachelors, Finance from Muhlenberg College.
What skills is Pete Oris known for?
Pete Oris is listed with skills including Bloomberg, Finance, Investments, Emerging Markets, Credit, Financial Services, Microsoft Office, and Vba.
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