Manages treasury strategies that ensure liquid funds are available for current capital needs, and assists in implementation of long-term cash management or investment plans that both preserve capital and support strategic goals.
January 26, 2020
Develops and maintains policies governing the management of interest rate risk, liquidity risk and the investment portfolio.
January 22, 2020
Demonstrates in-depth understanding of financial markets and comprehensive knowledge of banking.
January 15, 2020
Supports and provides input as appropriate for development of annual plans/budget.
December 01, 2019
Evaluates, in conjunction with senior management, the short and long-term funding needs of the Bank.
November 26, 2019
Serves as the Chairman of the Hedging & Derivatives Sub-Committee of ALCO.
November 05, 2019
Provides leadership in establishing appropriate targets for duration, yield, structure, mix, risk and maturity.
October 19, 2019
Monitors the financial condition and credit rating for issuers of debt for municipalities and agencies whose bonds are held in the investment portfolio.
October 05, 2019
Supervises and coaches assigned staff to develop knowledge, skills, and abilities to maximize performance potential.
October 03, 2019
Participates in the capital management process and provides analytical support for the evaluation of dividend policies, stock repurchase programs and capital issuance.
September 17, 2019