Bio
Experience
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Old Sterling National Bank
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42 Broadway, New York, N Y
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Securities Representative
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2005 - 2014
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42 Broadway, New York, N Y
Before joining Securities Department in 2007, I was assigned in the Trust and Estate Investment Services Department as a Verifications specialist. The following were my daily and occasional functions.Managed verifying and auditing Administrators daily work.Managed accounts payable of the department by executing payments.Assisted the Director of the department in processing clients unmanaged account by executing orders. Assisted Management in handling monthly fees, and on executing trade orders on managed accounts.Researched inquiries received from unmanaged and managed accounts. Processed departments end of month reports. Processed administrators daily function on her absence. Managed the directors daily functions during her absence.In 2007, I joined Securities Department as a Securities Representative. My daily functions was processing daily trades executed by the Treasury and Investment Department, such as Federal Funds purchase and sale,( commercial paper and repos). Processed all stocks and bond redemptions (Corporate actions mandatory and partial), maturities, dividend and interest payments received directly from Depositary Trust Clearing Corp., examined and verified securities used as collateral.(Collateralized loan). Perform the department head and other staff in their daily functions during their absence and when a help is needed.
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BNP Paribas
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Greater New York City Area
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Per Procuration- Supervisor (Authorized Signatory - Analyst
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May 1978 - Jan 2005
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Greater New York City Area
Duties held with the former Banque Nationale De Pais, New York BranchReviewed and approved loans handled and processed by four Loan Administrators.Managed and verified all new and renewed lines of credit authorization received from Credit Department.Assured that all Loan Upfront, Commitment, Facility and Retrocession fees are received as stipulated on the line of credit documentation.Reviewed the Syndicated Loans to make sure that all documentations are received from all the Participants. (Participating Bank)Duties held with the new BNP Paribas (After the merger)Managed the Loan Department's US Dollars and Foreign Currencies daily reconciliation for all BNP Paribas East Coast branches and that all exceptions are reviewed and handled in accordance with the guidelines.Advised all administrators to research the outstanding items and follow up the stale items(Also as required by the Government Control Department for their auditing reference purposes.)Please note that:My very solid and strong experience in all areas of the bank was with the former Banque Nationale De Paris, New York Branch. Authorized in supervising twelve staff at the Loan Department area before merging with Banque Paribas, N.Y. Strong knowledge of CHIPS, SWIFT, MIDAS & SPS,(DTCC) & SEI systems.After the completion of the merger and systems integration, I was given a title of ANALYST.During my tenure with former Banque Nationale de Paris, NY Branch, I was also authorized to conduct an interview and hire a new employee during my training period in the Human Resources Department.Completed the Official Interdepartmental Training of the Banque Nationale De Paris, N Y Branch.(Observed and learned the duties of the Head of each department in all areas of the bank and performed duties while on the job training for one year.)Special project accomplishment: Participated in the automation and conversion of Accounting and Securities Processing System. (SPS)
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Education
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1977 - 1978Fairleigh Dickinson University-Metropolitan Campus
Master of Business Admin. (M.B.A.), International Finance
Suggested Services
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Industry Focus. “Banking and Financial Services”
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