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About

We have a team of people with extensive expertise and experience across international banks and global markets activities. We are also privileged to have a network that allows us to source talented and capable bankers and market practitioners. These are people who we know and have worked with and can trust. Broyd Partners bring that expertise and experience to support colleagues and friends to manage their most pressing financial services industry issues.

OUR LEADERSHIP TEAM

OUR RESOURCES – USA

Gina Chute

Operations and Business Management

Gina has spent over 15 years in the financial services industry. The majority of her business career was at RBS and Greenwich Capital. Latterly she was head of Operations business management and worked on the restructure and consolidation of the operations functions in the US. In her operations roles, she also coordinated all projects with Legal, Audit, HR, and IT; oversaw the cost and headcount analytics; developed and managed

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Nancy Grady

Custody and Fund Services

Nancy has spent over 30 years in the custody management businesses, primarily at State Street and at Nothern Trust. She is a senior executive with extensive experience supporting Mutual Funds and unregistered products. She has managed teams across the enterprise responsible for executing services for asset managers and plan sponsors. Nancy has deep product knowledge of 'custody'. This includes

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Robert Fischer

LIBOR Transition, Rates COO & Market Risk

Robert Fischer, a financial markets professional with over 30 years of experience, has focused on all
facets of the Interest Rate Trading Business over his career. A licensed Series 24 Supervisor, Robert has
implemented key regulatory roll-outs, system migrations, new products, and most recently Libor initiatives at RBS/Natwest Markets, where he spent the bulk of his career. Robert was named Accountable Executive for several key programs, served as branch supervisor, participated in many external regulator reviews, and served as

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Tim Moran

Derivatives, Securitization, Rates Management

Tim is a Debt Markets professional with over 30 years of experience in securitization, derivatives, and more recently in LIBOR transition.  Core competencies include, transaction structuring and documentation, cross-functional collaboration, client management, presentations, risk management and analysis, internal controls, team leading and accounting.

Recently Tim has worked as a consultant on LIBOR transition. This work has included structural risk and transaction documentation analysis and practical applications of ARRC guidelines with an emphasis on bilateral loans, securitizations, derivatives, and basis risk.

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John Hoff

Markets, Risk and Compliance

John Hoff has worked for over 30 years in the financial markets and specializes in preemptive compliance for global markets activities in the industry. John’s focus is on leading firms through a seamless and compliant path from regulation through to policies, procedures, controls and training. He has expertise in resolving regulatory findings and internal compliance issues, and assists firms in avoiding regulatory findings and sanctions by creating simplified, effective compliance structures and culture.

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Scott Kalagian

Treasury and Risk Management

Scott is an experienced financial services professional with over 20 years of experience. He has extensive knowledge investment management, process management, regulatory compliance, systems implementation and project management. Scott has a deep understanding of the end-to-end consumer and commercial lending process and the credit and regulatory risks associated with financial services industry.

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OUR RESOURCES – UK

Scott McMunn

Financial Markets, Treasury, Strategy

A trusted Global Head of Trading, tier-one Banking Business Head and proven leader of dynamic change programmes, whose progressive career within the international financial markets has resulted in managing large teams in complex global operations.

Scott has successfully leveraged his own specialist technical knowledge of trading, programme and business management, working at Royal Bank of Scotland (RBS), Deutsche Bank and Abbey National Treasury Services. Responsibilities have included

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Luke Lindforth-Delaney

Benchmarks, Derivatives, Compliance

Luke has over 30 years of experience in financial markets with roles covering derivatives sales, trading, benchmarks, and risk. The combination of these direct working roles gives him a deep and holistic understanding of market factors and associated risks within multiple trading environments. He has rare working insight into numerous global benchmarks including LIBOR with experience both within the front office and a second line oversight function.

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Paul Lavelle

Banking, Asset Management, and Markets

Paul has worked for over 30 years in the financial markets in senior front office roles in major Buy- and Sell-side organizations. He has broad international experience having worked across multiple jurisdictions, business area and product areas with hands-on experience of all major Fixed Income products.  Paul is a client-centric, strategic leader with the ability to successfully build inclusive, well-governed and resilient businesses with a proven track record of success. 

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OUR RESOURCES – AUSTRALIA

John Feeney

AUSTRALIAN FINANCIAL MARKETS AND REGULATORY CHANGE

John has significant wholesale financial markets background across all asset classes. His recent activities include benchmark reforms, capital optimisation, XVA design and management and conduct risk management. He has extensive experience in trading and trader management for FICC products and covered all asset classes: rates, credit, equity, FX and commodities. John has strong skills in conduct and reputation management and recently has had extensive current experience with regulators on derivative regulation.

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“Tired of 27 year-old MBAs from large consulting firms telling you how to manage your business, speak to Broyd Partners, we are old.”

(but experienced, and have probably sat in your seat.)