Carl O'Gorman
Product Owner - Mobile Apps at CurrencyFair.com- Claim this Profile
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Bio
Experience
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CurrencyFair
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Ireland
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Financial Services
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1 - 100 Employee
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Product Owner - Mobile Apps
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Apr 2021 - Present
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Treasury Specialist
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Jun 2015 - Present
- Responsible for daily cash and liquidity management in a global environment;- Management and monitoring of multi-currency, multibank cash pools >100 currency accounts;- Manages the company FX risk and deal execution, executing 100 intraday FX hedging deals;- Part of a team that created and implemented a number of new applications within CurrencyFair, streamlining and automating processes within the payments team e.g deposits in, now >70% automated - Transfers out now > 85% automated;- Relationship Management: Primary operations point of contact with all banking partners in connection with CurrencyFair – AIB, Barclays, Earthport PLC, Macquarie;- Extensive knowledge of Salesforce CRM application;- Reporting directly to the CFO as manager of the operations incident register and resolutions. A retrieval success rate of > 80%;- Daily bank account reconciliation;- Carried out customer experience cross training for >15 staff members, held Q&A sessions with the team and mentored new starters;
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AIB
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Ireland
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Banking
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700 & Above Employee
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IT Service Delivery Team Member
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Nov 2012 - May 2015
• Responsible for the delivery of multiple weekly files, monthly Asset Disposal file and ad hoc/modified files to Capita Asset Services;• Monitored by NAMA, successful delivery of such files has remained above 90% for over 2 years;• Maintenance of regulatory requirements to meet compliance on KPI’s and audit requirements;• Primary link between AIB IT Service Desk and NAMA Department for new application or procedure roll-out;• Continued professional development through courses in areas including Anti-Money Laundering, Operational Risk Awareness, Conflicts of Interest, and Managing Customer Conflicts;• Undertaken Intermediate and Advanced level Microsoft Office 2010 courses.
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Payments and Reconciliations Administrator
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Nov 2011 - Dec 2012
• Reconciliation of daily accounts across jurisdictions and currencies;• Input and approval of daily cash sweeps to NAMA via SWIFT software;• Input and approval of drawdown pay-away and execution of FX transactions;• Preparation of reports to NAMA including weekly Asset Disposal Files and derivatives/swaps;• Maintenance of regulatory standards ensuring compliance with KPI’s and audit requirements;• Supporting Case Managers across AIB, NAMA and Capita case on the application of funds;• Liaising with Financial Control on reconciliation of daily collections;• Member of Operations Project Team standardising practices to ensure efficiencies in the daily workflow of teams across the Department.
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