ISLA Board

 

Chief Executive Officer: Kevin McNulty

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Kevin McNulty is the Chief Executive of the International Securities Lending Association. He  has worked in the securities lending industry for many years both in the UK  and the US. Prior to joining ISLA in August 2009, he worked for Barclays Global Investors where he ran the securities lending business in Europe and North America. Kevin is a past Chairman of the Association and a fellow of the Association of Chartered Certified Accountants.

 CEO-ISLA International Securities Lending Association


 Chairman: Richard Thompson  (Northern Trust)

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Richard is Senior Vice President and responsible for the Product Management function for Securities Lending at Northern Trust outside of the US. Richard rejoined Northern Trust in September 2007 after 6 years at Cogent/BNP Paribas Securities Services. Richard has 17 years experience in the financial services industry and has been involved in Securities Lending in a variety of roles since 1997.

 

Senior Vice President, Head of Securities Lending Product Management
Northern Trust

 


 

 Deputy Chair: Tammy Phillips ( Barclays Capital)

 

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Tammy Phillips, Managing Director and EMEA Head of Institutional Financing Sales for Barclays Capital. Tammy joined Barclays Capital in September 2009 and is responsible for lender strategy,  relationship management and product innovation with a keen eye on the current regulatory and legislative changes; automation and efficiency; and improvements to our standard documentation and business practices.
Tammy has in excess of twenty years industry experience, working most recently for Macquarie Bank and prior to this for Morgan Stanley. Her experience covers both securities lending and delta 1 derivatives or synthetic lending products.Tammy has been an ISLA board member since 2008

Managing Director and EMEA Head of Institutional Financing Sales
for Barclays Capital 

 


 

Ex-Offico : James Templeman ( Blackrock)

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James Templeman, Managing Director, joined BlackRock in 2001 (BGI at the time) and has overall responsibility for trading non-US equities and bonds as well as management oversight of the Securities Lending business in EMEA.  James has worked in the financial services industry for nearly twenty years, and is currently a member of the European Board of Equilend. He has served on the International Securities Lending Association's Executive Committee since 2004, previously as Chairman.

Managing Director, Head of Securities Lending for EMEA
BlackRock Investment Management UK Ltd

 



 

Treasurer: Ian Hovey  (StateStreet)

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Ian is currently head of Securities Finance Product Development for the EMEA region at State Street Bank and Trust Company. Based in London, he has been involved in the securities finance business for more than 25 years, working for three different organisations during this time.
Ian is a previous Chairman of the Association and has been the Associations Treasurer for the last 10 years.
He also Co-Chairs the ISLA Legal and Regulatory Sub Group.

Head of Securities Finance Product Development for the EMEA region
at State Street Bank and Trust Company 



Board Member: Rob D.M Coxon (BNY Mellon)

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Rob Coxon is a Managing Director and Head of the International Securities Lending product for BNY Mellon Asset Servicing. In this role, Rob is the senior executive for EMEA Securities Lending business with managers from the group’s equity and fixed income trading, client relationship and business development report directly to him.
Rob also has FSA regulatory oversight for the product with cash reinvestment and operations reporting into him on a dotted line basis.
Rob joined Mellon in 1997 as a securities lending trader. He has 26 years of Financial Services experience in Insurance, Investment Fund Management and Securities Lending. From 2001 to 2004, Rob was responsible for running both the International Equity and Fixed Income trading desks in London.
BNY Mellon lends Equities, GDR's and Fixed Income Securities in over 36 different countries on an agency basis. Prior to joining Mellon, Rob served as senior trader at Prudential Portfolio Manager, spending nine years on both a trading, project management and in an operational capacity. He started his financial career at Pearl Assurance PLC.

Managing Director and Head of the International Securities Lending product
for BNY Mellon Asset Servicing 


 

Board Member: Anthony Duggan ( Goldman Sachs)


Anthony has worked in the securities finance industry for the past 14 years and has a wide breadth of experience and comprehensive understanding of the international securities lending market from both a supply and demand perspective. He has worked in both London and New York and actively traded markets in Europe, the US, Asia and Emerging Markets. He joined Goldman Sachs in July 2008 and is responsible for the International Supply team.

 


 

Board Member: Keith Haberlin  ( Brown Brothers Harriman)

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Keith Haberlin joined BBH in 2004 and is responsible for global sales and marketing. He also maintains responsibility for overseeing day to day aspects of the securities lending business in Europe and the Middle East. He has almost 20 years of experience in the securities industry starting his career in fixed income operations at Hambros Bank Ltd in London. Mr. Haberlin joined BBH from SWIFT where he was responsible for SWIFT's efforts to automate the distribution of cross border funds and has also held senior sales and relationship management positions in the fund administration, clearing and custody divisions of BNP Paribas Securities Services, Fidelity and Clearstream. Mr. Haberlin holds accreditations from the International Capital Markets Association and the Chartered Institute of Bankers and has represented BBH on the SWIFT US National Group and the Omgeo Bank Steering Committee.Senior Vice President, Global Head of Sales and Marketing, Head of Securities Lending for Europe and the Middle East BBH.

 

Senior Vice Presedent - Global securities Lending
for BBH Investor Services Ltd


 


Board Member: Andrew Jamieson  ( J P Morgan ) 

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Andrew Jamieson, Managing Director, runs the Equity Finance business in EMEA (Europe, Middle East & Africa) for J.P. Morgan. Andrew joined J.P. Morgan in February 2008 upon the acquisition of the Bear Stearns Prime Brokerage business where he held a similar role responsible for Securities Lending, Synthetic Products, Collateral & Inventory Management and Hedge Fund coverage. In his short time at Bear Stearns he was instrumental in developing the international capability of both Bear Stearns's Equity Finance & Prime Brokerage businesses. Previously Andrew was with Barclays Capital and played a leadership role in growing their securities lending & synthetics business over the previous 7 years, specifically interfacing with the hedge fund community. Andrew joined Barclays directly from Connecticut based hedge fund, Paloma Partners, where he was head of structured products & financing. Prior to this he had roles within synthetic trading, securities lending & bond repo at both NatWest Markets & J.P. Morgan, where he started his investment banking career. Andrew holds a Bachelor of Engineering degree from the University of Edinburgh and joined the Equity Finance business after a spell in industry. 

 

Managing Director, Equity Finance business in EMEA (Europe, Middle East & Africa)
for J.P. Morgan.


 

Board Member: Mohamed Moursy ( ABN AMRO)

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Mohamed is Executive Director of Fortis Bank UK and Chief Executive Office of Markets Management Support ABN AMRO Markets  UK Ltd and is responsible for managing the global securities finance group. Mohamed has more than 25 years of broad experience in the securities industry.

Prior to joining Fortis he held senior positions in various roles with The Bank of New York Capital Markets, Fleet Securities, Paine Webber and Lehman Brothers.   His experience in the securities lending industry goes back to 1988 when he joined Lehman brothers as Director of Operation when the firm was establishing its UK securities lending operation.Before 1988 Mohamed was Senior Vice President of Moseley Securities Corp, Chief Accountant of Al-Mal Group and held other banking positions in the city.

 

Chief Executive Office of Markets Management Support
ABN AMRO Markets  UK Ltd 


 

Board Member: Martina Szameitat  ( Morgan Stanley )

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Martina Szameitat is a Managing Director and Morgan Stanley's Global Co-Head of Sales and Marketing for secured financing and securities lending products for the EMEA and Asia regions (Bank Resource Management Division).

Martina joined Morgan Stanley in 1992, starting in Corporate Treasury and moving to securities lending in 2003, when she was asked to manage the Firm’s Frankfurt-based Equity Financing desk covering Germany, Switzerland and Austria. From 2008, Martina was the head of the European Securities Lending desk located in the Morgan Stanley London office.Her primary objective is to build strong client relationships, dedicated client coverage and a reliable back office operation, in order to improve the platform and grow the Firm’s securities lending, financing & synthetics business.Prior to joining Morgan Stanley Martina spent 5 years in London with Deutsche Bank and Unicredito (formerly: Bayerische Vereinsbank)


Managing Director  Global Co-Head of Sales and Marketing for secured financing and securities lending products
for the EMEA and Asia regions (Bank Resource Management Division). for Morgan Stanley


 

  Board Member : Mick Chadwick (Aviva Investors)


Since 2006 Mick has been the Head of Trading for the Securities Finance business of Aviva Investors, the asset management arm of the Aviva Insurance Group with over £220 billion in funds under management. The Aviva Investors securities finance desk has the mandate to undertake securities lending, repo and related transactions in both fixed income and equity markets on behalf of all entities within the Aviva Group.

Prior to joining Aviva Investors, Mick spent most of his career as a borrower in the fixed income markets, working for various banks and investment banks. He designed, built and ran the European repo businesses of Lehman Brothers (1986-1991), UBS (1991-2000) and HBOS Treasury Services (2000-2005).In addition to various professional qualifications, Mick holds a degree in Mathematics from St Peter’s College Oxford.


 Head of Trading for the Securities Finance business of Aviva Investors



Board Member : Vincent Mortier (Societe Generale CIB)

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Vincent Mortier is a Managing Director and Société Générale CIB’s Global co-Head of Equity finance, a worldwide business line dedicated to sales and trading of derivatives and cash securities lending and borrowing and to synthetic prime brokerage. Vincent joined Société Générale in 1996 and has occupied various positions at the Group, the CIB and the Equity derivatives levels. He joined Equity finance in 2008” Vincent joined the ISLA  board 2011.


Managing Director and Société Générale CIB’s Global co-Head of Equity finance




Consultant: Hugh Gibson

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Hugh, who recently retired from HSBC will work for ISLA on a part time basis. This is a great opportunity for ISLA to utilise Hugh's vast experience to our benefit by helping the committee on the increased number of issues that are before us as well as in building ISLA's image and reputation throughout Europe.

During a career spanning 29 years, Hugh was a Corporate Banking Director responsible for City Markets (moneybrokers, stockbrokers, market makers, fund managers and the Lloyds insurance market) from 1985 to 1995. He then joined the executive management team at HSBC's global custodian where he was, at different times, responsible for stocklending, repo clearing, corporate trust, credit and risk, project management and latterly product and market strategy.

He was a founder member of the Stocklending and Repo Committee and also heavily involved in British Bankers Association and APACS committees, amongst others. He represented the UK on Clearing and Settlement issues at the European Banking Federation in Brussels and was a member of the UK Market Advisory Committee.

He holds an MA (Hons) in Classics from Keble College, Oxford and was an affiliate of the Securities Institute.

Consultant

hughsgibson@isla.co.uk