Sean M. Graves
*** ********, *********, ** ***** 443-***-**** ***********@*****.***
EDUCATION
MASTER’S DEGREE 2014 STRAYER UNIVERSITY OF MARYLAND BUSINESS INFORMATION SYSTEMS
BACHELOR’S DEGREE 1994 ST. JOHNS UNIVERSITY BUSINESS ADMINISTRATION & FINANCE
ORACLE DATABASE 11G 2010 SQL FUNDAMENTALS I ORACLE UNIVERSITY
AREA OF EXPERTISE
Client Service Financial Reporting
Ability To Deal With Ambiguity
Detailed Oriented, Results-Focused
Budgeting, Time Management
Decisive, Action Oriented, Adaptive
Documentation and Training
Portfolio and Risk Management
Quantitative and Analytical Driven
Proactive and Problem Solving
SKILLS
Troubleshooting, RMAN (Backup & Recovery), Data Pump (Migration), Data Guard(Data Recovery), Process Improvement (SQL* Plus), Disaster Recovery Planning,, Swift Messages, Fed Wire Transfer, Cash Management and DTC, Microsoft Office, Outlook, Word, Excel, Power Point, Access, Project 98, LAN, and Mainframes.
EXPERIENCE
DATABASE ADMINISTRATOR INSTRUCTOR JELANI CONSULTING 2013-2014
Trained on Oracle 11g Performance Tuning, Troubleshooting, Creating & Managing Databases and Data Guards
Managed and developed organization's budget monitoring spending to ensure oversee its implementation and guidelines
Responsible for 16 week course on Building Repositories, Create Dashboards, Install/Upgrade, Backup and Recovery
Served as fundamentals trainer for Oracle Database SQL and PL/SQL to help civilians obtain IT positions
ASSISTANT COMPTROLLER, BALTIMORE CITY MARYLAND DEPARTMENT OF CORRECTION 2010 – 2013
Reviewed proposals, negotiated prices, selected or recommended suppliers, analyzed trends, follows up orders placed
Oversaw procedural programs, objectives, and deliverables conducted quality review functions with staff of ten Accountants
Kept accurate records on quarterly costs and financial projections in evaluating client contracts and in the negotiation process
Served as contact person for resolving bank related issues against funds receivable, payable on cash advance balance; also reconciled clients accounts
Reviewed managers' budget proposals for completeness, accuracy, and compliance with laws and other regulations
INTERNATIONAL STOCK LOAN DIVIDENDS MANAGER MORGAN STANLEY 2005- 2009
Analyzed client financial information. revenues, expenditures and cash management to ensure all operations are within regulations
Compiled and analyzed statistical data to determine feasibility of buying stocks and to establish profit objectives for clients
Created reports, dashboards for various stakeholders in the organization, business units, internal executive management finance units
Condensed financial reporting by reconcile accounts quarterly to provided annual budgets to management/clients
Review and amend stock requests to include, assisting and reviewing financial statements of purchase requests
Managed nine analyst Ensured that all client documentation and financial records were maintained under contract
Monitored daily dividends cash flow to ensure adequate resources are available for weekly projected payments on operating client accounts.
INTERNATIONAL TRADE MANAGER UBS WARBURG 2004- 2005
Project manager for ad-hoc and large builds ensure deadlines and cost targets are met and maintain project documentation
Served as the liaison between Information Systems and other departments for systems development and deployment
Compiled stock price information to keep informed on price trends and processes to analyze and determine factors that affect prices
Handle daily banking procedures and including forecasting, budget preparation, disbursements, profit/loss and financial reporting
Prepared/processed financial statements for each client to ensure compliance of regulations I managed 15 associates
Familiar with Financial Accounting and Reporting and Acquisition Regulation for specific technical administrative functions
Verify that the clients are fulfilling contract deliverables and unit has quality control performance measures in place
TREASURY MANAGER LEHMAN BROTHERS 2002- 2003
Provided oversight / reconciliations functions outsourced to performs analyses to identify issues in transaction processing
Responsible for documenting, implementing, and enhancing processes/ procedures with both the end user and the system vendor
Manage the Global Liquidity including processing domestic/foreign wire requests transactions to coordinate intercompany transfers between U.K and U.S.
Confirmed trades with clients and brokers to attain settlement orders and delivery of funds and managed 14 analyst
Intervened to expedite deliveries and/or resolve delivery issues as required ensuring that the order are correct received per requirement
Forecast short/long-term cash position, and provide daily cash analysis using information provided by departments with Request for Funds expenditures
TRADE SUPPORT MANAGER JP MORGAN CHASE 1998- 2002
Managed a staff of 10 Settlement Specialists; responsible for customer accounts based in 40 global markets
Produced daily P&L and risk reporting for Portfolio Manager that consolidated risk measures for Treasury funding
Led a staff of 18 analyst responsible for ensuring appropriate and accurate clearing of Intra bank operations
Balanced/consolidated end of day main depository account for accurate transaction reporting of funds for cash management effectiveness
Responsible for portfolio management, for high profile clients also monitor risk transaction on underlying client custodian accounts