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An accomplished and top-performing senior GENERAL COUNSEL and TOP CORPORATE OFFICER with domestic and international expertise in banking; insurance and investment management; legal services; legal, compliance, and regulatory matters (LCR); risk management; budget administration; global leadership; litigation; board reporting; and government relations. Demonstrated experience in leading LCR, risk, and operations teams in global financial services companies through periods of transformation or crisis while building loyalty and productivity. Uses strong analytical, communication, and people skills to advise CEOs, management teams, and boards on strategy. Proven aptitude for reducing expenses and devising successful strategies to manage regulators, protect or recover significant sums, and retain or develop profitable businesses. Specialties include complex financial transactions, dispute avoidance and resolution, streamlining governance, and designing strong compliance programs.Recent roles include global responsibility for more than 225 lawyers in insurance and investment management, and leadership of efforts to integrate risk and control efforts for a SIFI/GSII.
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General CounselAegon Asset ManagementNew York, Ny, Us -
General CounselAegon Asset Management Jul 2018 - PresentThe Hague, Nl -
ConsultantSpencer Capital Holdings 2016 - 2018Leading legal, compliance, and risk efforts to grow, recapitalize, and IPO a group of established companies (largest independent captive manager, reinsurer, and finance/insurance brokerage group) in 27 locations in U.S., Europe, and Caribbean.
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Svp And General Counsel, Regions And InvestmentsAig Oct 2014 - Dec 2015New York, Ny, UsLed legal functions for regional CEOs and investments, providing legal services relating to investment portfolio of approximately $350 billion. -
Svp And General CounselAig Jan 2010 - Oct 2014New York, Ny, UsDirected LCR matters for AIG Property Casualty (Chartis). Managed 225 lawyers, 560 people, and budget of $135,000,000. Resolved long-standing multi-state regulatory investigations in commercial and consumer areas for sums much smaller than anticipated. Oversaw successful management of large premium tax exposures with minimal outlays. Worked closely with representatives of U.S. Treasury and Federal Reserve Bank of New York during transition out of government ownership and later into SIFI status. -
Deputy General CounselAig Jul 2009 - Jan 2010New York, Ny, Us -
Group Head Of Compliance / Coo Financial Markets / Gc Financial Markets And AmericasSwiss Re Jun 2002 - Jul 2009Zurich, Zurich, ChIn General Counsel and Compliance roles, redesigned group’s compliance organization and related board reporting to meet regulatory expectations. Developed multibillion-dollar CDO/CDS lawsuit and managed litigation matters returning $110,000,000. Led global legal and compliance teams, addressing governance issues for banking, brokerage and reinsurance operations around the world. Directed responses to industry-wide regulatory inquiries into structured reinsurance and contingent commissions. Spun off private equity and sold investment banking functions. Group experienced no regulatory issues despite creating many new products and markets. As divisional COO, Led operations and middle office teams, directing group functions (Finance, IT, and Risk) supporting financial markets business. Redesigned compensation plans and governance structures and instituted comprehensive plan to upgrade and integrate IT systems. Served as International VP of SIFMA Compliance and Legal division. -
Managing DirectorMorgan Stanley Jul 1996 - May 2002New York, Ny, UsVarious Legal and Compliance roles globally, and in Asia and the Americas. Served as Compliance Director for Morgan Stanley Dean Witter in the Americas, then globally for all legacy Morgan Stanley businesses. Worked on various matters, including equity analyst independence and other SEC regulatory initiatives. Earlier, negotiated with Hong Kong regulators to resolve large risk and oversaw successful negotiations with PRC and Beijing governments to resolve strategically important derivatives issues and secure large obligation. Directed compliance for Asia-Pacific region and built procedures in new jurisdictions/entities and in response to Asian financial crisis. -
AssociateCravath, Swaine & Moore Llp Sep 1991 - Jul 1996New York, Ny, UsLitigation on behalf of Salomon Brothers, IBM and pro bono clients -
CaptainUnited States Army Jun 1984 - Aug 1988Arlington, Virginia, UsRanger and Airborne Qualified, Meritorious Service Medal, Army Achievement Medal, Reserve service in 1/11th Special Forces continued into 1991
Tom Scherer Skills
Tom Scherer Education Details
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Columbia UniversityInternational Law And Legal Studies -
Princeton UniversityEnglish Literature
Frequently Asked Questions about Tom Scherer
What company does Tom Scherer work for?
Tom Scherer works for Aegon Asset Management
What is Tom Scherer's role at the current company?
Tom Scherer's current role is General Counsel.
What is Tom Scherer's email address?
Tom Scherer's email address is tj****@****hoo.com
What is Tom Scherer's direct phone number?
Tom Scherer's direct phone number is +121274*****
What schools did Tom Scherer attend?
Tom Scherer attended Columbia University, Princeton University.
What skills is Tom Scherer known for?
Tom Scherer has skills like Capital Markets, Corporate Governance, Aml, Corporate Law, Due Diligence, Insurance, Securities, Insurance Law, Litigation, Investment Banking, Risk Management, Reinsurance.
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