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Quality Control Management

Location:
Tarrytown, NY, 10591
Posted:
March 29, 2011

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Resume:

RICHARD N. PRICE

* ****** ******* **. *********, NY 10591

914-***-**** /E-mail: **********@*****.***

PROFESSIONAL EXPERIENCE

MARKIT, NA (FORMERLY CHASEN ENTERPRISES) 2006 -

2009

Vice President Structured Finance

. Integral contributor in the creation, testing and implementation of

DEALGUARD, an application that facilitated the modeling, updating and

timely delivery of our cash-flow modeling libraries to our clients

. Assisted Data Team in the integration of the Access database into

the Oracle database for purposes of DEALGUARD implementation

. Was responsible for Quality Control (QC) oversight on newly modeled deals

via specific data checks and cash-flow checks via DEALGUARD

. Certified that monthly update files (UPDs) on all client-requested

deals were delivered timely and accurately

. Liaised between the Data Team and the Cash-Flow Modeling Team

regarding all questions data and deal specific

. Consulted with senior programmers on system enhancements to increase

efficiency and effectiveness of the UPD process

. Accountable for weekly update on DEALGUARD implementation process to

upper management

. Modeled U.S. Subprime-Home Equity deals via client request

CHASEN ENTERPRISES 1998 - 2006

Senior Financial Modeler Structured Finance

. Was a significant contributor to achieving 100% coverage of the Agency

CMO library database

. Modeled all Agency CMO deals (Freddie Mac, Fannie Mae, Ginnie Mae)

. Modeled the vast majority of U.S. Whole Loan CMO and Alt-A deals

. Generated cash-flows for clients on any given security based on

various economic assumptions

. Assisted in responding to various client requests in a timely and

attentive manner

. Trained and supervised junior staff in company policies and

procedures regarding the modeling of all deals

. Worked closely with IT personnel to ensure timely and accurate reporting

of updated collateral, tranche and new factor information on any given

security in the database

STANWICH BENEFITS GROUP, INC 1996 - 1997

Recordkeeping Administrator

. Supervised daily asset reconciliation of 67 pension fund plans

. Created trades via Trustmark system

. Administered daily 401(k) and employer match contributions

. Performed monthly income analysis of pension plans

. Created and generated periodic participant investment statements

. Oversaw various transactions including loan processing, hardship, normal,

severance and other distributions

Temporary and consulting positions with major financial companies

1994-1995

CITIBANK, N.A. - North American Investment Bank (NAIB) 1990-1993

Management Associate - Group Financial Control

. Generated daily trading reports from information downloaded from

mainframe database

. Entered and verified adjustments to active portfolios for the various

product areas

. Prepared daily P&L for Governments, Currency and Interest-Rate Swaps,

Options, Futures, Swaptions, MBS and F/X Products

. Reconciled final daily trading reports with management profitability

reports

. Performed daily reconciliation of investment accounts per Monitored

Accounts Reconciliation System (MARS)

AMALGAMATED LIFE INSURANCE COMPANY (ALICO)

1988-1990

Financial Analyst/Portfolio Administrator - Finance Department

. Trained and supervised trade data operators on OSCARS securities database

. Supervised and insured that daily income processing was maintained

. Reconciled on a daily basis 13 portfolios in excess of $800,000,000

. Performed monthly balancing of all acquisitions and dispositions

. Reviewed projected income on all MBS

. Performed monthly broker reconciliations

EDUCATION

MANHATTAN COLLEGE

BS, Finance, 1987 Cum Laude Graduate

COMPUTER SKILLS: MS Office (EXCEL, WORD, POWERPOINT)



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