Joseph Ryan

Executive Director at JVB Financial Group, LLC
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Contact Information
us****@****om
(386) 825-5501
Location
Tuckahoe, New York, United States, US

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Credentials

  • Series 24 - General Securities Principal (GP)
    Financial Industry Regulatory Authority (FINRA)
  • Series 63 - Uniform Securities State Law
    Financial Industry Regulatory Authority (FINRA)
  • Series 7 - General Securities Representative (GS)
    Financial Industry Regulatory Authority (FINRA)
  • Series 79 - Investment Banking Representative (IB)
    Financial Industry Regulatory Authority (FINRA)

Experience

    • United States
    • Financial Services
    • 1 - 100 Employee
    • Executive Director
      • 2013 - Present

      Business development including identifying and prospecting institutions, family offices and other investors on behalf of internal and external fund strategies, specialty finance platforms and private debt & equity transactions. Opened numerous new clients for the firm resulting in capital commitments on multiple transactions. JVB Financial is a subsidiary of Cohen & Company (NYSE American:COHN). Cohen & Company’s primary focus is originating (through its affiliated broker-dealer, J.V.B. Financial Group, LLC) and managing hard to source debt instruments issued by small and medium sized insurance and reinsurance companies located primarily in the U.S., Bermuda and Europe. Since 2003, Cohen & Company’s specialized knowledge of the insurance industry has allowed it to successfully lend in the sector and provide over $4.6 billion of funding to more than 217 insurance companies. Cohen & Company has managed these assets through its SEC regulated Investment Adviser, Dekania Capital Management, LLC, in the U.S., and its FCA regulated entity, Cohen & Company Financial Limited, in Europe. A quick summary of the firm’s three main strategies: Our Private Insurance Debt strategy invests in debt from SME insurers characterized by SOFR +600 to +700 underlying notes with a low default history (<30bps). Our SPAC focused strategy invests in a diversified portfolio of SPAC units, equity and warrants in a reduced-downside strategy with favorable upside characteristics. Our Insurance Linked Strategies allow investors to gain exposure to reinsurance risks in the property and casualty spaces and to seek returns largely uncorrelated to traditional and alternative asset classes. Fixed income sales responsibilities include covering middle-market institutional clients including banks, insurance companies and investment managers. Product focus includes mortgages, structured products, municipals, private credit and repo. Show less

    • United States
    • Financial Services
    • 700 & Above Employee
    • Executive Director
      • 2010 - 2012

      Business development and product manager for U.S. Rates group with a specific focus on middle-market institutional clients. Business development and product manager for U.S. Rates group with a specific focus on middle-market institutional clients.

    • Financial Services
    • 1 - 100 Employee
    • Senior Vice President
      • 2009 - 2010

      Started a Debt & Equity Capital Markets business at a minority-owned broker dealer. Started a Debt & Equity Capital Markets business at a minority-owned broker dealer.

  • Blaylock Van, LLC
    • Greater New York City Area
    • Senior Vice President
      • 2008 - 2009

      Debt & Equity Capital Markets coverage officer at minority-owned broker dealer. Debt & Equity Capital Markets coverage officer at minority-owned broker dealer.

    • Switzerland
    • Banking
    • 700 & Above Employee
    • Managing Director
      • 1995 - 2007

      Global Head of U.S. Dollar Sovereign, Supranational & Agency trading & underwriting. Global Head of U.S. Dollar Sovereign, Supranational & Agency trading & underwriting.

  • PaineWebber
    • Greater New York City Area
    • First Vice President
      • 1992 - 1994

      Fixed Income Trading. Fixed Income Trading.

    • United States
    • Advertising Services
    • 100 - 200 Employee
    • Vice President
      • 1991 - 1992

      Fixed Income Trading. Fixed Income Trading.

  • Prudential Bache Securities U.K.
    • London, United Kingdom
    • Vice President
      • 1989 - 1991

      Fixed Income Trading. Fixed Income Trading.

  • Prudential Bache Securities
    • Greater New York City Area
    • Fixed Income Trading Liaison
      • 1986 - 1988

      Fixed Income Liaison training program. Fixed Income Liaison training program.

Education

  • New York University - Leonard N. Stern School of Business
    MBA, Finance & International Business
  • Harvard University
    B.A. cum laude, Classics
  • Xavier High School
    Diploma

Community

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