Hari Prasad Poosarla

Director, Cowen Integration at TD Securities
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Contact Information
us****@****om
(386) 825-5501
Location
New York, US

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Experience

    • Canada
    • Investment Banking
    • 700 & Above Employee
    • Director, Cowen Integration
      • Oct 2022 - Present

      New York, New York, United States

    • Vice President, Funding and Liquidity
      • Aug 2020 - Apr 2023

      New York, United States - Liquidity Coverage Ratio, Internal Liquidity Stress Testing (Enhanced Prudential Standards/Reg YY) and CED (Common Equivalency Deposit). - Cash projections and funding profile of the dealer and branch entities.

    • Vice President, Strategic Initiatives, Enterprise Risk Management/Market Risk and Model Development
      • Sep 2017 - Nov 2020

      Greater New York City Area - Change delivery professional representing interests of 30+ teams within Risk Management (Market Risk policy and reporting, P&L and Attribution, VaR, Stress, Valuations, Counterparty Credit Risk, Collateral, Liquidity, Volcker/Regulatory reporting, Model Development, etc.) for large-scale initiatives. - Successfully helped launch following businesses/products for TD Securities – US Mortgage Backed Securities (MBS) and Collateralized Mortgage Obligations (CMOs), SIFMA based Muni GICs… Show more - Change delivery professional representing interests of 30+ teams within Risk Management (Market Risk policy and reporting, P&L and Attribution, VaR, Stress, Valuations, Counterparty Credit Risk, Collateral, Liquidity, Volcker/Regulatory reporting, Model Development, etc.) for large-scale initiatives. - Successfully helped launch following businesses/products for TD Securities – US Mortgage Backed Securities (MBS) and Collateralized Mortgage Obligations (CMOs), SIFMA based Muni GICs, Portfolio Margining, Secured Funding (Equity Repos) and US Convertible bonds. - Transferred to the US office to lead US based TDS businesses and initiatives impacting Risk Management.

    • Canada
    • Banking
    • 700 & Above Employee
    • Risk Manager, Capital Markets Risk Management
      • Oct 2015 - Aug 2017

      Toronto, Canada Area - Part of a firm wide cross-functional team representing Capital Markets Risk Management's interests in the build of new Equity Derivatives and Fixed Income platforms and trade migrations.

    • Group Manager, Market Data Management, Capital Markets Risk Management
      • Feb 2014 - Oct 2015

      Toronto, Ontario, Canada - Led a team of 10 direct reports with project and production responsibilities for roughly 60% of the organizations end of day pricing market data. - Provided leadership for modernizing Market Data delivery – project worth $7 million lasting 3 years – involving 13 systems including source systems, risk engines and databases. - Transformed the team from a purely operational one to an operational + project execution team.

    • Senior Analyst, Market Data Management, Capital Markets Risk Management
      • Sep 2013 - Feb 2014

      Toronto, Canada Area

    • Canada
    • Investment Banking
    • 700 & Above Employee
    • Risk Analyst, Trading Risk Services
      • May 2010 - Sep 2013

      Greater New York City Area - Risk reporting for Equities, Equity Derivatives, Fixed Income, Precious Metals. - Value at Risk (VaR), Backtesting, Stress Testing, Greeks, Excel VBA, Bloomberg.

    • France
    • Banking
    • 700 & Above Employee
    • Intern
      • Oct 2009 - Apr 2010

      Mutual Funds, Fund analysis, B-shares, Visual Basic for Applications (Excel), Bloomberg.

    • Intern
      • Mar 2009 - Jul 2009

      Consulting for New York City government agencies, aggregation of various metrics to analyze city agencies' performance over a period of time, suggesting improvements.

    • India
    • Oil and Gas
    • 700 & Above Employee
    • Summer Intern
      • May 2006 - Jul 2006

Education

  • Columbia University in the City of New York
    Master of Science, Operations Research, Finance
  • Vellore Institute of Technology
    Bachelor of Technology, Information Technology

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