Sean has a breadth of expertise in banking, capital markets, insurance and management consulting — building & managing trading desks, addressing risks, advising business leaders, and creating bespoke investment solutions for clients. He currently consults with buy- and sell-side firms on navigating regulatory change and implementing risk management, reporting and technology solutions.
Prior to this Sean had multiple roles in the US and Canada at The Bank of Nova Scotia: he played a key role in building and serving as COO of a series of US-based cross-asset, multi-jurisdiction structured products and equity derivatives businesses; built-out an in-house wholesale bank client valuation and capital measurement system; and structured, executed and adjudicated debt transactions in several front-office, execution and risk roles in Scotia’s Commercial bank.
Sean is a CFA Charterholder and member of the Business Management interest group at CFA Society New York. He earned an MBA from the Ivey School of Business at Western University in London, Canada, and prior to that a BA from Western University with a double major in Economics (Honors) and Philosophy.