05/02/2023 updated


100 % available
Project manager, Senior Business Analyst, Derivatives, Murex, Calypso, Capital Markets, FX, banking
Chicago, USA
USA
B.A.AccountingAlgorithmic TradingArchitectureBalance SheetsFinancial InstitutionBankingInvestmentsCapital MarketsCash ManagementCollateral ManagementData ManagementDerivativesFinancesForecastingForeign Exchange Markets
Philip Green is a highly skilled Project Manager and Senior Business Analyst with extensive experience in Capital Markets, Investment Management, Treasury, Banking, Hedge Funds, and FinTech. He has a successful track record of implementing complex roll-outs of derivatives trading systems, including Blackrock Aladdin, Bloomberg, Calypso, Charles River IMS, Colline Collateral Management, Enfusion, Findur, Global One, Thinkfolio, Quantum Treasury, Tradeweb, Openlink Endur, WSO, and Murex. Philip has worked on various regulatory initiatives such as LIBOR/SOFR conversion, Acadia Soft real-time SIMM initial margin manager for OTC and ETD derivatives, and UMR (Uncleared Margin Requirements) for OTC Swaps.
Phil is an experienced treasury management professional with expertise in implementing treasury management systems and providing support for foreign exchange operations. He has collaborated with various stakeholders across different functional areas, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations, and back office operations, to manage currency exposure.
Additionally, Phil has successfully led platform delivery teams for various treasury management deliverables such as cash management, inter-company transfers and loans, cash positioning, forecasting, analysis, reconciliations, and resolution of exception items, while providing support for the firm's banking administration function.
Philip has worked for various financial institutions, including Mass Mutual/Empower, Northern Trust, Deutsche Bank, Daiwa Sumitomo Capital Markets, and Fortis Bank.
He has also implemented a Master Data Management system with integration to Advent Geneva and built a centralized system on an nTier Architecture that calculates funding on all positions of the firm. Additionally, Philip has experience with SWIFT, Tri Optima, and Microservices architecture builds. He has excellent communication, collaboration, and leadership skills, making him an asset to any organization.
Phil has implemented treasury management systems, supported treasury & foreign exchange operations strategy needs and served as the business analyst subject matter expert and advisor to senior management on treasury and foreign exchange operations as it impacts global business, operating, and financial results.
• Phil has extensive experience collaborating with cross-functional lines of business stakeholders, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations and back office ops. currency exposure management.
• Finally, Phil has led platform delivery teams for treasury management deliverables, including cash management-related activities, inter-company transfers & loans, cash positioning, cash forecasting, analysis, cash reconciliations, avoidance and resolution of exception items, and support of the firms banking administration function.
Phil is an experienced treasury management professional with expertise in implementing treasury management systems and providing support for foreign exchange operations. He has collaborated with various stakeholders across different functional areas, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations, and back office operations, to manage currency exposure.
Additionally, Phil has successfully led platform delivery teams for various treasury management deliverables such as cash management, inter-company transfers and loans, cash positioning, forecasting, analysis, reconciliations, and resolution of exception items, while providing support for the firm's banking administration function.
Philip has worked for various financial institutions, including Mass Mutual/Empower, Northern Trust, Deutsche Bank, Daiwa Sumitomo Capital Markets, and Fortis Bank.
He has also implemented a Master Data Management system with integration to Advent Geneva and built a centralized system on an nTier Architecture that calculates funding on all positions of the firm. Additionally, Philip has experience with SWIFT, Tri Optima, and Microservices architecture builds. He has excellent communication, collaboration, and leadership skills, making him an asset to any organization.
Phil has implemented treasury management systems, supported treasury & foreign exchange operations strategy needs and served as the business analyst subject matter expert and advisor to senior management on treasury and foreign exchange operations as it impacts global business, operating, and financial results.
• Phil has extensive experience collaborating with cross-functional lines of business stakeholders, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations and back office ops. currency exposure management.
• Finally, Phil has led platform delivery teams for treasury management deliverables, including cash management-related activities, inter-company transfers & loans, cash positioning, cash forecasting, analysis, cash reconciliations, avoidance and resolution of exception items, and support of the firms banking administration function.
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Project history
Philip Green is a highly skilled Project Manager and Senior Business Analyst with extensive experience in CapitalPhilip Green is a highly skilled Project Manager and Senior Business Analyst with extensive experience in Capital Markets, Investment Management, Treasury, Banking, Hedge Funds, and FinTech. He has a successful track record of implementing complex roll-outs of derivatives trading systems, including Blackrock Aladdin, Bloomberg, Calypso, Charles River IMS, Colline Collateral Management, Enfusion, Findur, Global One, Thinkfolio, Quantum Treasury, Tradeweb, Openlink Endur, WSO, Markets, Investment Management, Treasury, Banking, Hedge Funds, and FinTech. He has a successful track record of implementing complex roll-outs of derivatives trading systems, including Blackrock Aladdin, Bloomberg, Calypso, Charles River IMS, Colline Collateral Management, Enfusion, Findur, Global One, Thinkfolio, Quantum Treasury, Tradeweb, Openlink Endur, WSO, and Murex. Philip has worked on various regulatory initiatives such as LIBOR/SOFR conversion, Acadia Soft real-time SIMM initial margin manager for OTC and ETD derivatives, and UMR (Uncleared Margin Requirements) for OTC Swaps.
Phil is an experienced treasury management professional with expertise in implementing treasury management systems and providing support for foreign exchange operations. He has collaborated with various stakeholders across different functional areas, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations, and back office operations, to manage currency exposure.
Additionally, Phil has successfully led platform delivery teams for various treasury management deliverables such as cash management, inter-company transfers and loans, cash positioning, forecasting, analysis, reconciliations, and resolution of exception items, while providing support for the firm's banking administration function.
Philip has worked for various financial institutions, including Mass Mutual/Empower, Northern Trust, Deutsche Bank, Daiwa Sumitomo Capital Markets, and Fortis Bank.
He has also implemented a Master Data Management system with integration to Advent Geneva and built a centralized system on an nTier Architecture that calculates funding on all positions of the firm. Additionally, Philip has experience with SWIFT, Tri Optima, and Microservices architecture builds. He has excellent communication, collaboration, and leadership skills, making him an asset to any organization.
Phil has implemented treasury management systems, supported treasury & foreign exchange operations strategy needs and served as the business analyst subject matter expert and advisor to senior management on treasury and foreign exchange operations as it impacts global business, operating, and financial results.
• Phil has extensive experience collaborating with cross-functional lines of business stakeholders, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations and back office ops. currency exposure management.
• Finally, Phil has led platform delivery teams for treasury management deliverables, including cash management-related activities, inter-company transfers & loans, cash positioning, cash forecasting, analysis, cash reconciliations, avoidance and resolution of exception items, and support of the firms banking administration function.
Phil is an experienced treasury management professional with expertise in implementing treasury management systems and providing support for foreign exchange operations. He has collaborated with various stakeholders across different functional areas, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations, and back office operations, to manage currency exposure.
Additionally, Phil has successfully led platform delivery teams for various treasury management deliverables such as cash management, inter-company transfers and loans, cash positioning, forecasting, analysis, reconciliations, and resolution of exception items, while providing support for the firm's banking administration function.
Philip has worked for various financial institutions, including Mass Mutual/Empower, Northern Trust, Deutsche Bank, Daiwa Sumitomo Capital Markets, and Fortis Bank.
He has also implemented a Master Data Management system with integration to Advent Geneva and built a centralized system on an nTier Architecture that calculates funding on all positions of the firm. Additionally, Philip has experience with SWIFT, Tri Optima, and Microservices architecture builds. He has excellent communication, collaboration, and leadership skills, making him an asset to any organization.
Phil has implemented treasury management systems, supported treasury & foreign exchange operations strategy needs and served as the business analyst subject matter expert and advisor to senior management on treasury and foreign exchange operations as it impacts global business, operating, and financial results.
• Phil has extensive experience collaborating with cross-functional lines of business stakeholders, including Treasury, Accounting, Tax, Operations Technology, Front Office, Middle Office operations and back office ops. currency exposure management.
• Finally, Phil has led platform delivery teams for treasury management deliverables, including cash management-related activities, inter-company transfers & loans, cash positioning, cash forecasting, analysis, cash reconciliations, avoidance and resolution of exception items, and support of the firms banking administration function.