CLYDE E. KEEDY
East Windsor, New Jersey 08520
*******-*@*******.***
EXPERIENCE: Daily, Monthly and Annual posting, review and
reconciliation of the books and records of
various State and Federally chartered
financial institutions and their subsidiaries
Team with internal and external Audit, Tax
and Regulatory reporting groups for timely and
accurate filing of all required documents
Prepare, analyze and comment on internal
financial statements and operating results
Implement required system, procedural and
accounting changes within various
organizational groups and departments to
increase efficiencies
EMPLOYMENT: U S TRUST COMPANY of NEW YORK - BANK OF
AMERICA
1997 Senior Vice President - Mgr of Acct and Mgmt
Reporting
2009
* Controller of Five Legal Entities:
Services and Support Company -
Systems and software
development
Mutual Fund Administration/Advisor
Company -
Internally developed mutual
fund products
Limited Service Broker Dealer -
Introducing broker for client
transactions
Alternative Investment Company -
Hedge fund services
Delaware Trust Company -
Trust administration and
reporting
* Accounting Responsibility for $650 million
of Corporate Fee Revenues including:
Asset Management fees
Mutual and Private Equity fund advisory
fees
Consulting, Financial Planning and
Special Fiduciary fees
Tax Preparation, Wrap product and Estate
fees
* Management Responsibility for:
Internal and External audit requirements
Budget to Actual results
Capital and cash flow adequacy
Legal Entity Board reports
ACCOMPLISHMENTS:
Consolidated national accounting services
into single accounting unit with
resulting expense reductions in excess of $1
million annually
Directed accounting set-up of Corporate
Services Company that produced over $2 million
in cost savings annually
Headed Finance team in conversion of new
fee revenue recording and collection system
that improved both cash flows and operating
efficiencies
Participated in both corporate
reorganizations and the creation of subsidiary
companies in an effort to reduce tax expenses
and enhance revenue flows
1985 MONARCH SAVINGS BANK of NEW JERSEY
1992 Chief Financial Officer
* Establish and implement Bank investment and
secondary marketing
strategies including cash management
* Monitor all Bank activities relative to
Federal, State and local banking
regulations
* Accountable to the Board of Directors for
all financial, audit and
regulatory reporting and review
* Coordinate loan purchases and sales in
response to market and balance
sheet requirements
* Preparation and review of corporate budget
and business plans
1982 BANK of MONTREAL, Wall Street, New York City,
N.Y.
1984 Manager of Accounting, Reporting and Control
(treasury division)
* Headed accounting and reporting department
for New York treasury group
* Money market and foreign exchange reporting
and profit taking
* Federal and local reporting
* Complete month-end and annual closing
responsibility
Senior Loan and Investment Analyst
* Accounting and reporting for $1.5 billion
liquidity portfolio
* Reconciliation of investment and loan
systems
* Inter-company cost allocation - corporate
loan division
1979 COLONIAL SAVINGS of NEW JERSEY
1981 Controller
* Financial statement preparation
* Preparation and analysis of annual budget
* Investment portfolio accounting and
reporting
* Supervision of purchasing and cost control
areas
Assistant Controller
* Introduced EDP system in accounting
department
* Implemented cost center accounting system
* Board reporting
EDUCATION:
THOMAS EDISON STATE COLLEGE, Trenton, New
Jersey
B.S.B.A. - Accounting Major
QUALIFICATIONS:
Participated in Charter Consolidations,
Mergers, Acquisitions and Sales
Experienced in dealing with the FDIC, OCC,
IRS, FNMA and FHLMC
Prepared Business Plans and Growth Models for
market expansion
Skilled in organizing, coordinating and
controlling operations and analysis
REFERENCES: Available upon request